FIN-033STANDARD PREVIEWCompany tier

Event and Ticketing Revenue Reconciliation

Defines how finance reconciles event and ticketing revenue against box office and point-of-sale records to confirm every dollar collected is accounted for.

Public overview

Why This Matters

Event revenue often moves through multiple systems — box office, POS, comps, and cash — and each handoff is a place money can go unreconciled. A ticketing discrepancy caught weeks later is nearly impossible to trace back to its cause. This reconciliation is the control that confirms an event was as profitable on paper as it felt on the floor.

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Version
1.0
Authority
A5
Section
Finance & Accounting

Operational and leadership guidance published by Alveary. Not legal, employment-law, safety-engineering, or regulatory advice. Standards vary by jurisdiction, brand, and property — consult qualified counsel and your own policies before acting.