Take payment, any way they book.
Card, open banking, payment links, deposits and instalments, all captured against the booking.
See how we improve payment collection Received GBP 8,420Built for travel businesses that need one booking-level view of payments, protected funds, settlements, supplier commitments and reporting evidence.




Travel businesses struggle to answer one question:
Bookings, payments and reporting live in different systems. Finance teams spend hours piecing together what cash has been received, protected, committed and available. As the business grows, the answer gets harder to find.
One booking, followed all the way through. felloh captures the payment, matches it to the booking, updates your systems, makes it reportable and gives finance the context to act.
Everything stays connected in one financial picture, so finance teams can see where money is, what it relates to and what needs to happen next.
Card, open banking, payment links, deposits and instalments, all captured against the booking.
See how we improve payment collection Received GBP 8,420Bulk settlements unpacked to fees, refunds and chargebacks. Bank transfers matched with no references to chase; anything that does not fit is surfaced for you.
See how we streamline reconciliation Protected GBP 5,894 · Available GBP 2,526Receipts and entries pushed to your booking system and accounts, with no rekeying.
See how we sync your systems Booking system + accounts updatedATOL, APC, escrow, PTR bond and cash allocation evidence is drawn from the same booking record. Drill from any reporting number back to the payment trail behind it.
See how we simplify compliance reporting ATOL / APC evidence readyTrigger the right follow-up once booking context is clear: hold protected funds, release available cash, queue supplier payments or give sales the green light to book the flight.
See how we tighten financial control Hold · release · pay · follow upfelloh makes payments, bookings, settlement, protected funds and supplier obligations usable as one finance record, so each team can move towards the outcome they care about.
See what cash has been received, protected, committed and available across every booking, without rebuilding the picture from exports.
ExploreATOL, APC, escrow and reporting trails stay connected to the underlying payment, settlement and protected-funds treatment.
ExploreOnce supplier obligations, settlement status and protected funds are clear, felloh can trigger the next finance or sales workflow automatically.
ExploreBring us one booking, payment workflow or reporting problem. We will show how felloh connects the money trail around it.