Accounting Infrastructure

Enterprise Revenue Management

  • Standardize Financial Data

    Convert revenue and financial data from various different types of systems into a uniform, consistent format that can be used to feed your accounting system and reconcile to your bank account.

  • Save Supporting Records

    Create a digital audit trail by saving sales records and back up information generated by parking access and revenue control systems and other parking technologies in ParkChirp’s Daily Reporting feature.

  • Integrate With Your Accounting System

    Automate the general ledger posting process by assinging general ledger account information to each type of accounting transaction – driving significant back office efficiencies.

Standardize, digitalize and integrate to minimize your organization's G&A costs

Leverage ParkChirp's Daily Reporting feature to streamline your accounting processes
Auditability

Reconcile, Audit & Verify

  • Reconcile Bank Account Deposits

    Compare your bank account deposits by payment type and bank account to the daily reporting entries, ensuring all of the revenue collected is properly accounted for.

  • Track and Audit Parking Tickets

    Conduct detailed ticket reconciliations using lane information, ticket sequence numbers, tickets issued and tickets redeemed.

  • Produce Validation Bill Back Invoices

    Automatically generate validation bill back invoices from the daily reporting entries and schedule them to send on a specific billing date, eliminating the manual invoice process.