LedgerMatch
Bank Reconciliation for Hotels & Hospitality in Garland, TX
A practical CSV-based bank-to-ledger workflow for hotels and hospitality businesses bookkeepers serving businesses in Garland.
Bookkeeping context in Garland
Garland is a major manufacturing and industrial suburb east of Dallas, with a large number of small and mid-size manufacturing businesses that require careful bank reconciliation each month. Chase and Bank of America are the dominant commercial banks in Garland. LedgerMatch handles both CSV formats and reconciles Garland business accounts against QuickBooks or Xero in under 10 minutes.
Hotels & Hospitality reconciliation workflow
Hotels and hospitality businesses receive revenue from a complex mix of channels — direct bookings via credit card, OTA (Online Travel Agency) net deposits from Booking.com, Expedia, and Airbnb, and group billing via invoice. Each channel deposits on a different schedule and in a net amount after OTA commissions or card fees. LedgerMatch matches every OTA payout, direct booking deposit, and operating expense against your QuickBooks in under 10 minutes.
Local and industry considerations
- Texas has no state income tax. Garland businesses file the annual Texas Franchise Tax — accurate reconciled bank records are the foundation of that calculation.
- OTA payouts from Booking.com, Expedia, and Airbnb arrive net of commissions on different weekly schedules, making it difficult to reconcile total room revenue against the bank statement without a structured approach.
Common banks and accounting tools
- Chase
- Bank of America
- Wells Fargo
- Wells Fargo
- Bank of America
- Chase
- QuickBooks Online
- M3 Accounting
Explore related resources
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