Scan
Scan open and departed folios
Reconcile room charges, payments, discounts, adjustments and settlement records before the business date is closed.
PREHOOS keeps the operational record, finance trail and management view connected so the team can act before the problem becomes a guest complaint, cash dispute or close exception.
Each step stays tied to the guest, room, department, payment, audit or finance record it affects.
Scan open and departed folios
Compare charges and payments
Review discounts and adjustments
Resolve or flag exceptions
Include results in audit packet
This page is part of the PREHOOS sales story because hotel buyers care about control: what changed, who touched it, what remains unresolved and what it means for today’s numbers.
Keep the buyer moving through the operational story.
Give managers a daily packet covering revenue, occupancy, payments, exceptions and close status.
Prepare controlled Night Audit totals for accounting so finance works from closed hotel activity, not copied figures.
Move approved guest or company balances into accounts receivable and monitor aging, statements and collections.
See how the workflow connects to reservations, folios, Night Audit, accounting and owner visibility.