Transaction Verification
Automatically review each guest payment by type—including cash, check, Visa, and MasterCard—to ensure accurate posting.
Our Night Audit Reconciliation service ensures precise end-of-day financial reporting by automatically verifying and reconciling all guest payment transactions recorded in your InnGenius platform or any connected Property Management System (PMS). Say goodbye to late-night manual audits and mismatched numbers—automated night audit services make your reconciliation faster, more accurate, and completely hassle-free.
Automatically review each guest payment by type—including cash, check, Visa, and MasterCard—to ensure accurate posting.
Instantly identify and flag mismatched or missing payments, so you can resolve discrepancies before they impact financial reports.
Get a comprehensive end-of-day summary that includes:
Total payments received by type
Final settled amount
Key Performance Indicators (KPIs) such as total rooms, sold rooms, and occupancy insights
Receive itemized reports with guest name, room number, payment details, and discrepancy amounts for easy investigation and follow-up.
Eliminate human errors and ensure every transaction is correctly accounted for.
Spot inconsistencies quickly and protect your revenue from losses.

Save hours of manual work with automated daily reconciliation.
Gain clear visibility over your hotel’s daily performance and cash flow.
Automate your night audits and ensure every transaction is accurate, transparent, and fully reconciled—before the next business day begins. Eliminate manual errors, save valuable time, and gain total control over your hotel’s daily financial performance with InnGenius Night Audit Reconciliation.