LedgerMatch

Bank Reconciliation for Property Management Companies in Honolulu, HI

A practical CSV-based bank-to-ledger workflow for property management companies bookkeepers serving businesses in Honolulu.

Bookkeeping context in Honolulu

Honolulu's tourism, military, and retail sectors generate steady transaction volumes that require accurate monthly reconciliation. Bank of Hawaii and First Hawaiian Bank are unique to the islands — both have distinct CSV export formats that differ from mainland banks. LedgerMatch handles both formats and reconciles Honolulu business accounts against QuickBooks or Xero in under 10 minutes.

Property Management Companies reconciliation workflow

Property management companies operate with multiple bank accounts — a trust account holding tenant security deposits, an operating account for management fees and expenses, and often a separate account for each property owner. Each account needs its own monthly bank reconciliation. LedgerMatch helps property management bookkeepers reconcile all of them — matching rent deposits, security deposit movements, owner disbursements, and maintenance vendor payments against QuickBooks or AppFolio ledger exports in under 10 minutes per account.

Local and industry considerations

  • Hawaii has a 6.4% corporate income tax and a unique General Excise Tax (GET) that applies to nearly all business activity — accurate monthly bank reconciliation is essential for correct GET filing.
  • Security deposit trust accounts must reconcile independently from operating accounts, and owner disbursements must match distribution statements exactly — errors in either account can create legal liability for the property manager.

Common banks and accounting tools

  • Bank of Hawaii
  • First Hawaiian Bank
  • Central Pacific Bank
  • Wells Fargo
  • Chase
  • Bank of America
  • QuickBooks Online
  • AppFolio

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