Send new booking transaction details to finance endpoint
Send new booking transaction details to finance endpoint
When booking transactions stay only in your PMS, billing staff face reconciliation delays and missed owner payouts. You get consistent payment records in downstream systems for same-day reconciliation.
Overview
When booking payments remain siloed, reconciliation and owner payouts get delayed and error-prone. This flow posts each settled transaction to your finance endpoint so billing staff have same-day records for reconciliation and payout runs.