THe Problem
Hard-to-read checks and manual reconciliation slows down your workflow.
Illegible checks
Mixed PDFs
Hours doing manual checks
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THE SOLUTION
We take your CSVs and PDFs, even messy ones, reconcile the checks and return categorized transactions and general ledger entries ready for your books.
Reconiled checks to backs statements
Accurate bank statement categorization
Auto-generated journal entries in Excel format

How It Works
CSV, Excel, PDF, whatever you’ve got, we don’t judge.
We automatically reconile check images with bank statements, categorize transactions, generate journal entries, and flag anomalies.
Everything is formatted and export-ready.
You receive a clean excel sheet with all journal entries complete faster than you can say “What expense is Check 135 associated with"?
20–30 hours saved per month
Auto-generated Excel outputs & journal entries
Scales easily to new clients or categories
Simple to use — no technical training needed
Complements your existing software

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“This completely changed the way we handle client books — it’s like an invisible team member.”
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Partner, Cohen and Sons
“I used to spend hours categorizing. Now I get clean entries and reports automatically.”
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Samira G., Freelance Book Keeper
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Cut hours of manual work and deliver spotless, clean books in minutes.
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Spend less time on tedious reconciliation and more time growing your client base.