About this integration
Source Specification:
Hilton PMS: both PEP (Property Engagement Platform) and OnQ
Target Specification:
NetSuite
Connectivity:
PMS: Night-audit data exports are automatically retrieved for processing.
NetSuite: Journal entries are automatically delivered through an authorized secure connection.
Data Frequency & Timing:
By default, the integration runs daily. The timing of the integration run is flexible but always respects the end-of-day settings in your PMS environment.
Available Accounting Flows: The difference between a Closed and Consumed accounting flow
Consumed Accounting Flow (Accrual)
Integration Flowchart

About the Omniboost Base Platform
Omniboost Base gives you a single platform to onboard, monitor, and manage all your Omniboost accounting integrations — across all your properties. From reviewing integration status and updating mapping to tracking data runs and resolving errors, everything you need to keep your connections running smoothly is in one place. Learn more here.
Integration features
Features | Consumed Flow |
|---|
Transfer Revenues Transfers revenues to the accounting platform aggregated by PMS Accounting Category for simplified reporting. | Supported
|
Transfer Payments Transfers payments to the accounting platform aggregated by PMS Accounting Category for simplified tracking. | Supported
|
Transfer VAT / Tax Transfers VAT/Tax using either designated ledger account codes or VAT/Tax codes, based on configuration. | Supported
|
Accounts Receivables (A/R) Transfers revenues from checked-out guests with unpaid balances, linked to their debtor profiles for A/R management. | Not Supported
|
Detailed Revenue Entries Provides granular, line-level revenue transaction details instead of aggregated totals. | Not Supported
|
Detailed Payment Entries Provides detailed, line-level payment transaction data instead of aggregated totals. | Not Supported |
Skipping Revenue Entries Allows exclusion of specific revenue transactions (by accounting category) from the transfer. | Supported
|
Skipping Payment Entries Allows exclusion of specific payment transactions (by accounting category) from the transfer. | Supported
|
Credit Card Fee Split - Commission Calculation Separates estimated credit card fees from gross payment amounts and posts them to a designated ledger account. | Not Supported |
Matching Debtor numbers Uses existing debtor numbers from the accounting system by reading them from the PMS, avoiding duplicate debtors. | Not Supported
|
Statistics Transfers statistical data (arrivals, departures, occupancy) to the accounting system. | Supported
|
Customizing the Journal Description Allows customising journal entry descriptions beyond the default PMS reference format. | Supported
|
Customizing Revenue and Payment descriptions Allows customising journal entry line descriptions beyond the default accounting category names. | Supported
|
Market Segmentation for Accommodation Revenues Breaks down accommodation revenues by market segment for granular reporting and ADR per segment. | Not Supported |
Advanced Mapping Logic Supports detailed mapping of ledger accounts, cost centers and other journal elements beyond standard PMS mapping. | Supported
|
Payment Reconciliation Support Includes additional payment details to help reconcile payment entries with bank transactions. | Not Supported |
Please note: Features and flowchart may vary depending on the setup of the target and source systems, the selected tier, and the accounting flow applied. Not all features in the Omniboost Base Platform are supported for all integrations.