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Hotel and hospitality audit workbook

Generate an Excel workbook for hotel internal audit: room revenue, OTA settlements, POS, banquets, F&B inventory, procurement, payroll, licences, GST and PMS/POS controls.

Engagement profile
Select audit areas
9 RCM rows selected
AreaRiskControlTestEvidenceCadence
Rooms revenue occupancyRooms are sold, upgraded, comped, cancelled or settled without complete PMS evidence, approved rates or accurate occupancy reporting.Approved rate master, night audit review, complimentary-room approval and cancellation/no-show control.Match stays to reservation, check-in, folio, invoice, settlement, rate override and occupancy reports.Reservation, guest registration, PMS folio, tax invoice, settlement, night audit report and rate approval.Daily / Monthly
OTA agents corporate billingOTA commissions, travel-agent invoices, corporate rates, credit periods or receivable balances are misstated.Channel manager reconciliation, contract/rate-card master, commission review and ageing follow-up.Reconcile OTA bookings to PMS, invoices, settlements, commission workings, credit notes and receivables.OTA report, channel manager export, corporate contract, invoice, settlement advice and ageing.Weekly / Monthly
Restaurant bar POS settlementsF&B sales, voids, discounts, KOT/BOT, cash, card or UPI collections do not reconcile to POS and bank evidence.POS user controls, void/discount approval, daily settlement reconciliation and KOT/BOT sequence review.Match POS Z reports to KOT/BOT, invoices, cash sheet, card/UPI settlement and bank statement.POS Z report, KOT/BOT, tax invoice, void/discount log, cash sheet, settlement report and bank statement.Daily / Weekly
Banquets events advancesEvent revenue, minimum guarantees, deposits, cancellations, freebies or deferred income are not recorded per contract.Event contract approval, advance/deposit tracker, banquet event order review and post-event billing reconciliation.Match event contract to BEO, deposits, final invoice, free items, cancellation terms and settlement.Event contract, BEO, advance receipt, function sheet, invoice, cancellation note and settlement proof.Per event / Monthly
F&B inventory storesInventory, wastage, spoilage, pilferage, recipe yield, bar stock or purchase consumption is not accurately recorded.GRN quality check, recipe/yield master, inventory count, spoilage approval and food-cost review.Match purchases to PO/GRN/invoice, count stores/bar SKUs and review food-cost and beverage-cost variance.PO, GRN, vendor invoice, stock ledger, recipe card, count sheet, wastage log and approval.Weekly / Monthly
Procurement vendors capexHotel purchases, maintenance, linen, amenities, repairs, capex or AMC spends are unsupported, split or related-party driven.Vendor onboarding, quotation control, approval matrix, capex budget and asset tagging.Review vendor KYC, split purchases, PO/GRN/service note/invoice/payment match and capitalization evidence.Vendor master, quotations, PO, GRN/service note, invoice, payment proof, capex approval and asset tag.Monthly
Payroll outsourced staffPayroll, casual labour, service charge/tips, outsourced housekeeping/security or overtime is unsupported or incorrectly allocated.Roster and biometric control, payroll master review, manpower approval and service charge/tips policy.Match payroll to roster, attendance, bank payment, outsourced deployment sheets and service charge distribution.HR master, roster, biometric report, payroll register, bank proof, manpower invoice and deployment sheet.Monthly
Licences GST complianceFood licence, excise/bar permissions, fire, pollution, shop establishment, hotel classification, GST or TDS compliance lapses.Compliance calendar, licence tracker, GST rate review, return filing review and renewal escalation.Check licence validity, renewal evidence, GST rate classification, return acknowledgements, challans and notices.FSSAI licence, local licences, fire NOC, GST returns, challans, notices and renewal tracker.Monthly / Annual
PMS POS access interfacesUsers can change rates, room status, voids, discounts, settlements, inventory or interfaces without review.Role-based PMS/POS access, leaver review, interface reconciliation and audit-log monitoring.Review users, leavers, privileged roles, overrides and PMS/POS-to-accounting interface exceptions.PMS/POS user list, role matrix, HR exit list, audit log, override log and interface exception report.Monthly / Quarterly

Use this with the hotel internal audit checklist, the ITGC checklist and the monitoring rules repository.

How it works

Hotel internal audit is strongest when operational evidence and finance evidence are tested together. The workbook connects PMS, POS, channel manager, banquet, inventory, payroll, licence and accounting records to practical RCM rows.

The Excel export gives auditors separate sheets for engagement scope, RCM rows, room revenue, OTA/corporate billing, POS F&B testing, banquet advances, inventory/licence/access checks and monitoring exceptions. Tailor it to property type, outlet mix and approved audit scope.

Worked example

A CA firm is reviewing a hotel with rooms, restaurants, banquet events, OTA bookings and outsourced housekeeping.

Inputs
ScopeRoom revenue, OTA settlements, POS, banquets, inventory, payroll, licences and PMS/POS access
OutputExcel workbook plus PDF summary
Output
WorkbookRCM, room sample, OTA/corporate testing, POS F&B testing, banquet advance testing, inventory/licence/access and monitoring exceptions

Common mistakes

Testing room invoices without PMS reports
Room revenue should tie reservation, occupancy, folio, rate override, night audit, invoice and settlement evidence.
Ignoring voids and discounts
POS voids, discounts, cancelled KOT/BOT and open checks are frequent leakage points in restaurant and bar operations.
Treating licence checks as a generic compliance list
FSSAI, GST, excise, fire, municipal and tourism-classification requirements depend on state, property type and operations.

Frequently asked questions

What is a hotel audit workbook?+
It is a multi-sheet internal-audit working paper used to document hotel controls: rooms, occupancy, rates, OTA settlements, POS, F&B inventory, banquets, advances, procurement, payroll, licences, GST and PMS/POS access.
Does this workbook replace GST or hotel-licensing advice?+
No. It is an audit workpaper starter. GST rates, FSSAI licence category, excise/bar permissions, fire NOC, local licences, labour law and hotel classification requirements must be verified for the property and audit period.
Which hotel audit data should be requested first?+
Request PMS reservation and folio reports, night audit reports, rate master, OTA/channel manager exports, POS Z reports, KOT/BOT logs, cash/card/UPI settlements, banquet event orders, inventory ledgers, licence tracker, payroll roster and PMS/POS user lists.

Authoritative sources

ICAI
ICAI IASB - Industry Specific Internal Audit GuidesIncludes the Technical Guide on Internal Audit of Hotel Industry.
ICAI
ICAI IASB - Compendium of Standards on Internal AuditUse SIA planning, evidence, documentation, IT environment and reporting principles when tailoring the workbook.
ICAI
ICAI IASB - Past webinarsIncludes recent hospitality internal-audit webinar topics for risk emphasis.
CBIC - GST rates for accommodation, food and beverage servicesVerify current GST treatment for hotel accommodation, restaurant service and outdoor catering.
FSSAI FoSCoS - eligibility and licence categoriesVerify the current FSSAI licence category for hotel and restaurant operations.
NIDHI+ - Ministry of Tourism hospitality guidelinesUse for tourism classification and hospitality guideline context where applicable.
Always confirm against the latest version of the source. Regulations evolve and amendments are common.
Related calculators
Hotel internal audit checklistITGC internal audit checklistInternal audit RCM builder
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Last reviewed: 2026-08-29 · For informational purposes only — not professional advice.