Turn Disjointed Money Flows into a Single Source of Truth
Short-term rental finance is complex: owner statements, cleaner payroll, expenses, and OTA payouts all live in different systems.
Cressco connects your PMS, accounting tools, and banking so every transaction is captured, reconciled, and reported.
Your Needs, Our Solutions
Solution 1:
Owner statement & Accounting Integration
Main issues:
1. Monthly owner statements take days and often contain errors.
2. Accounting platforms and PMS data never quite match.
3. Missed expenses or late payouts hurt owner trust.
Our fix & results:
We sync your PMS with accounting software and automate owner statements, so every booking, fee, and expense flows into a single ledger. The outcome: near-perfect statement accuracy, on-time payouts, and clean books investors can trust.
Solution 2:
Payroll & Expense Control
Main issues:
1. Cleaner hours and extra jobs are logged manually and go missing.
2. Receipts pile up and never reach the right property record.
3. Payroll runs late, creating compliance risk and unhappy staff.
Our fix & results:
We capture cleaner time and receipts at the source (mobile apps like Connecteam), route them through your PMS, and push to payroll and accounting automatically. Result: zero late payrolls, full expense capture, and property-level cost clarity.
Solution 3:
Reconciliation & Financial KPIs
Main issues:
1. Stripe, OTA payouts, and bank deposits rarely reconcile on the first try.
2. Month-end close drags on, with surprise carry-forwards.
3. No clear metrics to spot leaks or forecast cash.
Our fix & results:
We implement a monthly reconciliation checklist and a live finance KPI dashboard. You’ll see on-time payout rates, match percentages, and close cycle times in real time, delivering faster closes and fewer corrections.
Results You Can Expect

99%+
statement accuracy and on-time owner payouts

0 late
payrolls and full expense capture each month

faster
Month-end close cut from weeks to days, even as you scale to hundreds of properties
We design and configure the finance workflows, integrations, and dashboards for your team to run.
Advisory Setup
We implement, monitor, and maintain the full finance stack with ongoing reviews and support.
Advisory + Managed Rollout
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