LedgerMatch
Bank Reconciliation for Gyms & Fitness Studios in Houston, TX
A practical CSV-based bank-to-ledger workflow for gyms and fitness studios bookkeepers serving businesses in Houston.
Bookkeeping context in Houston
Houston's energy, construction, and healthcare sectors generate high-dollar, low-frequency transactions — large vendor payments, progress billings, and insurance receivables — that require careful bank reconciliation every month. Texas has no state income tax, but businesses must file state franchise tax (the Texas Margin Tax) annually, and accurate books directly affect that calculation. LedgerMatch helps Houston bookkeepers match Wells Fargo and Chase exports to QuickBooks in under 10 minutes, with tolerance matching that handles the common ±1-day posting delays typical in ACH-heavy oil and gas payables.
Gyms & Fitness Studios reconciliation workflow
Gyms and fitness studios live and die by membership billing — monthly EFT membership sweeps, personal training package payments, retail supplement sales, and class pass transactions all hit the bank account in the first week of every month. A gym with 300 members can have 400+ transactions in the first 5 days of the month alone. LedgerMatch matches every membership payment, retail sale, and expense against your QuickBooks or Xero ledger in under 10 minutes, so gym bookkeepers can close month-end fast.
Local and industry considerations
- Texas has no state income tax, but the annual Texas Franchise Tax (Margin Tax) requires accurate gross revenue reconciliation — clean bank records are the foundation of an accurate franchise tax return.
- Membership billing sweeps process in bulk on the first of the month, creating a surge of bank transactions that must all reconcile cleanly against QuickBooks before the second-week close deadline.
Common banks and accounting tools
- Chase
- Wells Fargo
- Frost Bank
- Chase
- Bank of America
- Wells Fargo
- QuickBooks Online
- Mindbody
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