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OODA
Accounting and Auditing Services Facility Operations
Financial Governance & Revenue Integrity
Operational Sector // 09

Accounting and Auditing Services

Forensic Financial Reconciliation, Zero Leakage & Transparent Yield

ZERO REVENUE LEAKAGE:Reconciliation protocols matching every gate transaction to bank deposits.
Sector Context & Mandate

Engineering Operational Excellence for Accounting and Auditing Services

Parking revenue is vulnerable to cash shrinkage, fee slippage, and uncollected validation disputes. We provide forensic auditing, automated daily balancing, and transparent pro forma dashboards.

At OODA Parking, we do not apply cookie-cutter operating models. We audit the unique turnover curves, ingress bottlenecks, and client expectations specific to accounting and auditing services assets to formulate an airtight management strategy.

KEY OPERATIONAL BENCHMARKS

ZERO REVENUE LEAKAGE

Reconciliation protocols matching every gate transaction to bank deposits.

PCI-DSS LEVEL 1

Enterprise encrypted payment processing eliminating financial liability.

PORTLAND, MAINEVERIFIED STANDARDS
Operational Capabilities

Tailored Services for Accounting and Auditing Services

Targeted solutions engineered to resolve the exact challenges of this property category.

CAPABILITY // 01Daily deposit integrity

Daily Gate-to-Bank Reconciliation

Every automated pay station, mobile app transaction, and credit card gateway charge is reconciled daily against actual bank settlements.

CAPABILITY // 02Full financial transparency

Forensic Rate & Fee Auditing

Deep examination of ticket pulls, lost ticket fees, validations, and grace periods to eliminate employee theft and software leakage.

CAPABILITY // 03Interchange fee reduction

Merchant Processing Fee Minimization

Auditing interchange fees and merchant processor charges to ensure your asset isn't overpaying on credit card transaction processing.

CAPABILITY // 04Boardroom-ready reports

Executive Pro Forma Dashboards

Clear, consolidated monthly owner reporting detailing gross revenue, occupancy trends, net operating income, and year-over-year yield.

Bespoke Execution Framework

The Four Financial Safeguards of OODA Auditing

Institutional-grade financial controls protecting property owners and asset managers.

PROTOCOL 01

Independent Cashier & Till Audits

Unannounced register counts and till verifications preventing on-site shrinkage.

PROTOCOL 02

Validation System Integrity

Digital tracking of merchant validation stamps to ensure full tenant billing recovery.

PROTOCOL 03

Monthly NOI Yield Benchmarking

Comparative analysis against regional property performance and rate indices.

PROTOCOL 04

Tax & Compliance Support

Seamless integration with state parking sales tax and municipal parking surcharges.

Operational Methodology

How OODA Manages Accounting and Auditing Services

Explore full decision science
01 / OBSERVE

Observe

Ingest every ticket transaction, merchant settlement batch, and validation voucher.

02 / ORIENT

Orient

Run discrepancy detection algorithms to spot anomalies in voided tickets or grace periods.

03 / DECIDE

Decide

Formulate remediation steps for detected fee leaks and adjust cashier controls.

04 / ACT

Act

Deliver reconciled financial statements, deposit net funds, and refine digital auditing safeguards.

Direct Partnership Inquiry

Request a Management Proposal for Accounting and Auditing Services

Our leadership will conduct an initial pro forma and operational evaluation of your property. Contact our team to initiate the assessment.