All integrations
Finance · Exploration
Accounting exports
Prepare structured operational and booking data for downstream finance workflows.
Discuss this connectionCurrent public status: Exploration
Operational data exists, but owner statements, accounting exports, payout reconciliation, and a contracted finance integration are not available as production capabilities.
Activation requirements
- Define the accounting source of truth
- Map organizations, properties, taxes, fees, and ledger accounts
- Implement export and reconciliation rules
- Add period locks and correction handling
- Validate with finance users and sample books
No implied vendor availability
Availability is confirmed per organization, environment, account, property, and channel. A configured interface, stored credential, or preview screen is not evidence that third-party data or money is moving in production.
