For charter operations, ScyllaStar provides a complete toolkit to manage itineraries, guest preferences, and financial flows with precision. Brokers and managers can easily handle APA budgets, contracts, and post-charter reconciliations, while ensuring a flawless experience for guests. By linking charter data with the Yacht Accounting & Finance module, ScyllaStar eliminates duplication and delivers a unified vision of the yacht’s commercial activity.
STEP 1: Upload and validate your MYBA contract
Provide the broker with an efficient API to upload instantly the MYBA contracts. It reduces the operational risks and the double entry works. It also works with all types of contract.
STEP 2: Provide the adequate tool to the captain to manage the APA during the charter
Empower captains with a dedicated interface to track the Advance Provisioning Allowance (APA) effortlessly. From instant receipt scanning to live budget oversight, the crew can generate professional expense reports for guests at any moment, ensuring full transparency during the cruise.
STEP 3: Charters financials are naturally embedded in Yacht Accounting & Finance module !
Charter financials are no longer a silo. Every transaction flows directly into the general ledger, automating post-charter reconciliations and providing owners with a 360° view of the vessel’s commercial performance.
Dive deeper into the Charter Module