Bookkeeping & Accounting Services Built for Canadian Clients
From recurring bookkeeping and reconciliations to cleanup, month-end and year-end preparation.
Full-cycle bookkeeping and accounting support
Monthly bookkeeping, reconciliations, AP, AR, payroll bookkeeping, GST/HST support, cleanup, year-end preparation and the support around it all.
Bookkeeping
Keep your books accurate and up to date while you focus on growing the business.
Bank Reconciliation
Identify discrepancies faster and maintain complete financial accuracy.
Payroll
Reliable payroll processing delivered accurately and on time, every cycle.
GST/HST & Compliance
Filings and remittances handled on schedule, so nothing slips through.
Financial Reporting
Clear monthly reports that give you and your clients real visibility.
Month-End Close
Every account reviewed and reconciled before a file is ever called done.
Accounts Payable
Bill capture, coding, approvals, payment tracking and AP organization.
Accounts Receivable
Invoice tracking, aging reports, follow-up support and collection visibility.
Cash Flow Support
Cash position visibility, upcoming obligations and basic cash-flow reporting.
Cleanup & Catch-Up Bookkeeping
Bring outdated, messy or backlogged books up to date and audit-ready.
Year-End Preparation
Books and supporting records organized for your CPA or tax professional.
New Business Setup
Chart of accounts, accounting software setup, workflows and bookkeeping structure.
Software Migration
Support moving between accounting platforms, done carefully and cleanly.
KPI & Management Reporting
Revenue, gross margin, operating expenses and other indicators owners rely on.
CPA Firm Back-Office Support
Behind-the-scenes bookkeeping, reconciliations and recurring file support for firms.
Where Canadian Businesses Usually Need Help
We understand the problem. Here's how we can help.
Books Behind
Books aren't reconciled regularly and nobody knows the real numbers.
Month-End Backlog
Bank, credit card and balance sheet reconciliations keep getting pushed back.
GST/HST Deadlines
Nobody wants to discover a filing or remittance deadline after it has passed.
Payroll Administration
Payroll, remittances, employee records and related bookkeeping consume valuable time.
Receivables Getting Older
Invoices are outstanding but nobody has time to follow up systematically.
Payables Piling Up
Bills sit in inboxes and cash commitments are difficult to track.
Tax-Ready Books
The year-end package isn't clean enough for the CPA to work efficiently.
Cleanup Work
Prior-period errors, unreconciled accounts and messy bookkeeping need fixing.
CPA Capacity
CPA firms have too many bookkeeping files and not enough internal capacity.
Seasonal Workload
Tax season and year-end create sudden spikes in workload.
Founder Blind Spots
Owners don't have a clear monthly picture of cash flow, profitability and liabilities.
Multi-Entity Complexity
Growing businesses may have multiple entities, accounts or locations to keep consistent.
Not sure where your books stand?
Request a Free Bookkeeping Health CheckWhat Your Monthly Close Can Look Like
- Transactions categorized
- Bank accounts reconciled
- Credit cards reconciled
- Accounts receivable reviewed
- Accounts payable reviewed
- Payroll-related accounts reconciled
- GST/HST accounts reviewed
- Balance sheet accounts checked
- P&L reviewed & monthly reports delivered
- Issues flagged and questions communicated clearly
Your job: run the business. Our job: keep the books organized and give you reliable numbers to work from.
Red Flags We Help You Catch
These aren't necessarily errors. They're signals worth reviewing.
Certified on the software you already use
Xero
QuickBooks Online
Dext
Excel
Google Workspace
Cloud Storage