Bookkeeping software built for Canadian bookkeepers
Keep the daily books for every client from one browser: invoices, bills, bank imports, HST and payroll, with no limit on company files and every entry stamped with your name.
The daily cycle, the way you work it
- Invoices, estimates, sales orders, sales receipts, credit notes, statements and late interest; Receive Payment then Make Deposit, the way the bank sees it.
- Vendor bills, approvals, part payments, vendor credits, purchase orders with receiving, recurring bills and mileage claims.
- Quick Entry: receipts and card charges in five fields, or typed as a sentence and posted after one confirmation.
- Categorisation rules that remember the HST code, so the same vendor is never typed twice.
Bank work in minutes, not afternoons
- Import OFX, QFX, QBO and CSV downloads from any Canadian bank, or the PDF statement itself, a whole year at once.
- Match bank lines against invoices, bills, payments and deposits already in the books.
- Reconcile every bank and card to the cent, with the reconciliation report your accountant wants and history kept.
Made for many clients
- No limit on company files: every client is a separate file in your firm's own folder.
- The Action Centre lists every deadline across clients: HST filings, PD7A remittances, T4 season, unreconciled accounts.
- Direct Excel import from QuickBooks Online and Xero to move a client over in an afternoon.
- Help & Tutor with 45 lessons on the real screens, for new staff.
Bookkeeper seat · $59 per monthCAD, plus HST. First month free. Founding firms: half price for six months.Start a one-month trial