LedgerMatch

Bank Reconciliation for Hotels & Hospitality in New York, NY

A practical CSV-based bank-to-ledger workflow for hotels and hospitality businesses bookkeepers serving businesses in New York.

Bookkeeping context in New York

New York City's density of small businesses — over 230,000 active firms in the five boroughs — means bookkeepers and accounting firms here handle some of the highest transaction volumes in the country. Restaurants, retail, and professional services each generate hundreds of monthly bank entries that must reconcile cleanly against QuickBooks or Xero. LedgerMatch matches Chase, Citibank, and TD Bank CSV exports to your ledger in under 10 minutes, flagging every exception automatically so New York bookkeepers can close month-end without a single VLOOKUP.

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

  • New York's combined state and city tax requirements make accurate reconciliation especially important — S-corps and LLCs must reconcile to the penny before filing the NYC-202 and NY-IT-204.
  • 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
  • Citibank
  • TD Bank
  • Wells Fargo
  • Bank of America
  • Chase
  • QuickBooks Online
  • M3 Accounting

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