Bookkeeping Workspace

KC Accounts

A focused operations system for importing financial data, reviewing transactions, reconciling open items, and keeping reporting current.

1. Import
Bank statements, credit card statements, and GST JSON all land in one controlled pipeline.
2. Review
Generate transactions, apply rules, assign narration, and classify with chart of accounts.
3. Reconcile
Close the loop on unmatched and partial items with a visible reconciliation history.