Maxxton for Finance

Finally, a solution for effective financial management

Managing finances for a multi-location holiday rental business is no small task. From handling transactions to ensuring compliance and providing actionable insights, the finance team plays a critical role. Maxxton’s Finance Manager simplifies these processes, automating essential tasks and integrating with your accounting software.

Work smarter, not harder

01

Automate revenue recognition

Automate the tracking, recording and reporting of revenue and transferring this to your accounting system.

02

Efficient payment processing

Reduce manual work by automating the tracking, recording and reporting of payments and transferring this to your accounting system.

03

Efficient reconciliation and reporting

Optimize operational daily processes with clear, actionable reports

04

Guarantee compliance with audit trails

Automate tax calculations, simplify audits, and maintain detailed audit trails for hassle-free compliance.

Automate core financial processes

Traditionally, financial accounting in holiday parks and campsites relied on manual spreadsheets, leading to errors and inefficiencies. Maxxton transforms financial operations with integration and automation.

  • Quick setup
    Effortlessly set up journals, ledgers, accounts, payment reconciliation, and revenue distribution rules to hit the ground running.
  • Control settlements with third-party channels
    Define payment transfers or commissions through the channel manager, simplifying agreements with booking platforms.
  • Monitor transactions seamlessly
    Track, record, and report revenue and payments automatically for complete visibility.
Finance Manager - Revenue Distribution

Simplify revenue management

Revenue management can be time-consuming. Maxxton automates it to keep your financial processes efficient.

  • Automatic revenue recognition
    Allocate and recognise revenue accurately based on contract terms with no manual effort.
  • Real-time financial updates
    Keep statements updated as transactions occur, providing accuracy and transparency.
  • Maintain cash flow control
    Configure payment reminders to avoid disruptions in cash flow and maintain financial stability.
  • Generate precise financial reports
    Detailed reports help you make better decisions and stay on top of financial performance.
Finance Manager - Ledger

Accurate financial reconciliation

Reconcile payments efficiently so every record aligns with your financial strategy.

  • Easily locate financial records
    Search for specific transactions or adjustments in seconds with intuitive tools.
  • Match unassigned payments effortlessly
    Quickly connect payments to bank statements, reducing discrepancies and errors.
  • Verify revenue distribution accuracy
    Review detailed revenue distribution reports to ensure proper allocations and compliance.
Finance Manager - Payment Processing

Simplify tax compliance and audits

Tax compliance is essential, and Maxxton helps your business follow local regulations. Reduce the time spent on compliance tasks and simplify the audit process.

  • Automate local tax calculations
    Apply regional tax rates and rules automatically for each transaction.
  • Effortless compliance with audit trails
    Log every transaction, adjustment, and repayment, creating a clear audit trail for streamlined compliance checks.

Automate maintenance invoicing and deposit repayment

Maxxton provides tools to simplify routine tasks, saving time and reducing errors.

  • Generate maintenance invoices automatically
    Reduce manual work and errors with automated invoicing for maintenance tasks.
  • Effortless deposit refunds effortlessly
    Manage deposit repayments, including adjustments for damage-related deductions, quickly and accurately.

See how Maxxton keeps your finances on track.