Reservation and booking system
Usually: FareHarbor, Peek Pro, Checkfront, Zaui, Rezdy, Bokun, Xola
What it holds. Departure schedule, capacity per departure, bookings, guest contact details, waivers, gift cards, pricing tiers and the manifest for each sailing or tour.
How we connect. Vendor API where one exists, webhook on new booking, change or cancellation, otherwise a scheduled export of manifests and payments. Read first. Writes back are limited to fields we have agreed in writing, such as capacity holds or a note on a booking.
Marketplaces and resellers
Usually: Viator (Tripadvisor), GetYourGuide, Expedia Local Expert, Klook, Airbnb Experiences, hotel concierge desks
What it holds. Third-party bookings, the reseller's own cancellation terms, commission owed, guest reviews and payout statements that arrive weekly or monthly.
How we connect. Through the booking system's channel connection where the operator already has one, plus parsing of payout statements and booking emails into one ledger. Each reseller booking is matched to a manifest line and later to a payout line, with a confidence score on the match.
POS and payments
Usually: Square, Lightspeed, Clover, Moneris, Stripe (through the booking system)
What it holds. Onboard bar and merchandise sales, walk-up ticket payments, card tips, cash tips recorded at close, and the terminal, staff member and timestamp on every transaction.
How we connect. Two-way with Square, Toast and Lightspeed is live in our Fennec product; for a tour operator we typically read sales, tips and payment type by API per departure window and never store card numbers. Card data stays with the processor.
Payroll, scheduling and accounting
Usually: QuickBooks Online, Xero, Wagepoint, Payworks, ADP, 7shifts, Deputy, Google Sheets
What it holds. Who worked which departure, hours, roles, pay rates, the tip-out per person, T4 reporting and the general ledger the accountant closes each month.
How we connect. Scheduled export or API. Tip-out and per-departure crew cost are produced as a file or ledger entry the bookkeeper imports, with every line traceable to a departure and a rule.