Private pilot. Hospitable Trust Accounting is in private pilot with a small group of Australian users. Access is by invitation only. This article will be updated as the pilot progresses.
Not in Australia? Reach out to [email protected] to join the waitlist and get notified when Trust Accounting is released in your location.
Hospitable Trust Accounting reads your Hospitable owner statements, matches them against your real trust account bank feed, issues numbered receipts, records payments, and generates the statutory reports your auditor needs — the trust account cash book, the ledger listing, the trust account reconciliation, and an immutable month-close record. Setup takes one call of about 30 minutes.
Book Your Setup Call
Book a time with Ethan Brown.
Join from a desktop computer so that you can share your screen.
Have These Ready
Your business name, and your licence number if you hold one
Your trust account name, BSB and account number, exactly as your bank shows them
Your registered business address
The name and role of the person who receives money on your behalf
What Happens On The Call
We'll provide you with a link to access Trust Accounting with your Hospitable login.
Enter your business and trust account details, review the sample receipt, and confirm.
Connect your trust bank account, or import a CSV statement.
Match your first deposits to receipts, and your owner payouts to statements.
Produce compliance-ready trust account reports.
Need Help?
Email Ethan Brown at [email protected]. During the pilot, questions go to Ethan rather than to Support.

