Keep project managers' revenue records accurate across properties
Keep project managers' revenue records accurate across properties
Project managers miss reservation fees and channel details, causing delayed reconciliation and audit exposure. Capture channel reservations and fee breakdowns into a central sheet so finance and ops reconcile faster.
Overview
Missed reservation fees and channel splits create reconciliation headaches and audit exposure for property portfolios. Centralizing channel reservations and calculated fee breakdowns into one ledger lets project managers and finance reconcile confidently and maintain complete audit trails.
Notable Features
- Capture channel reservation details
- Compute and record fee breakdowns
- Create spreadsheet rows for reconciliation