Hotel Bookkeeping and Accounts, Managed for You
Our accountants keep your hotel's books in Oristelo — daily postings checked, bank reconciled, GST and TDS prepared, month closed on time.
Your night audit already writes the day into the ledger. With this service, our accountants take it from there.
What it is
A managed service delivered by people, working in Oristelo's Hotel Accounting module — so your books, invoices and reports stay in one place and you can see everything they do.
What our team works on
- Daily books — checking the audit's postings and outlet closings.
- Bank and settlements — reconciling bank, gateway and OTA payouts.
- Payables and receivables — vendor bills, payments, city-ledger follow-up.
- Statutory work — preparing GST returns and TDS for your review.
- Month end — working through the close checklist and producing the reports.
Good to know
The scope and fee are agreed with each property. If you already have an accountant, they can keep working in Oristelo or have each day exported to their own Tally, Zoho Books or QuickBooks file.
