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AI Accounting Services

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AI-ASSISTED ACCOUNTING OPERATIONS FOR CANADIAN BUSINESSES

AI-Assisted Accounting Services for Canadian Businesses with Human Review

Prepare bookkeeping, AP, AR, bank and card reconciliations, payroll-source data, contractor records, expenses, close schedules and financial-reporting inputs.

AI may assist with document classification, transaction matching, recurring-item identification, duplicate detection and missing-field alerts. Human reviewers validate source, entity, province, period, account, amount, category, version and exception status against client-approved rules.

01

Canadian Financial Records Consolidated

Authorized bank, card, vendor, customer, payroll-source, contractor and ledger data is collected.

02

Transactions Prepared and Reconciled

Approved bills, invoices, receipts, expenses, balances and schedules are processed.

03

Exceptions Tracked

Missing support, unclear mappings, unmatched transactions and unresolved balances remain visible.

04

Canadian Review Package Prepared

Human-reviewed reconciliations, schedules, reports and open-item lists are prepared.

AI Accounting Services provides accounting-operations support only. We are not a Canadian CPA firm, public accounting firm, audit firm, law firm or tax-return preparation provider and do not provide independent tax or compliance conclusions.

STRUCTURED CANADIAN ACCOUNTING OPERATIONS

Organize Recurring Financial Records for Review and Decision-Making

Canadian businesses may manage accounting across banks, cards, payment processors, customers, vendors, payroll providers, contractors, expense systems, provinces, departments and reporting periods.

Our support organizes approved financial data into a controlled workflow with account mappings, reconciliations, AP and AR processing, payroll-source schedules, sales-tax source records, exception tracking and recurring reporting packages.

The client and its authorized Canadian CPAs, accountants, tax advisers, attorneys, payroll professionals and management retain responsibility for accounting policy, worker classification, payroll calculations, GST/HST/PST/QST treatment, tax filing, legal interpretation, assurance conclusions and final approval.

01

Canadian Bookkeeping Support

Prepare approved transaction, ledger, bank, card and recurring accounting records.

02

AP and AR Operations

Maintain approved vendor bills, customer invoices, receipts, credits, aging and payment-status data.

03

Payroll and Contractor Source Data

Organize authorized payroll summaries, contractor files, expenses and reimbursement records.

04

Close and Reporting Readiness

Prepare reconciliations, account schedules, management reports and tax-professional source files.

CANADIAN ACCOUNTING SUPPORT INCLUDED

Structured Support Across Bookkeeping, AP, AR, Payroll and Close Workflows

The exact scope depends on business type, entities, provinces, locations, accounting systems, banks, cards, vendors, customers, payroll sources, reporting periods, approval paths and professional review requirements.

01

AI-Assisted Bookkeeping

Prepare authorized Canadian business transactions, classifications, ledger records and recurring files with human review.

02

Accounts Payable Processing

Process approved vendor bills, coding fields, due dates, approvals, payment status and exceptions.

03

Accounts Receivable Processing

Maintain approved customer invoices, receipts, credits, aging, collection-support notes and unapplied items.

04

Bank and Credit Card Reconciliation

Match approved Canadian bank, card and transfer activity to accounting records and track differences.

05

Payment Posting Support

Apply approved customer, merchant and electronic receipts to invoice and account records.

06

Payroll Source-Data Preparation

Organize approved payroll summaries, employer liabilities, benefit records and department allocations.

07

Contractor and T4A Source Records

Maintain client-approved contractor, payment and source-document data without preparing or filing forms.

08

Employee Expense Processing

Prepare approved travel, card, reimbursement and operating-expense records.

09

GST, HST, PST and QST Source Organization

Organize approved sales, purchases, tax fields and exemption-source records without determining treatment or filing.

10

Fixed Asset Register Maintenance

Maintain approved equipment, furniture, IT and other asset records without setting depreciation or capital-cost treatment.

11

Month-End Close Support

Prepare approved reconciliations, account schedules, rollforwards and open-item files.

12

Canadian Financial Reporting Data Preparation

Prepare trial-balance, income-statement, balance-sheet, cash-flow and dashboard-ready inputs.

COMMON CANADIAN ACCOUNTING DATA SOURCES

Connect Accounting, Banking, Vendor, Customer, Payroll and Expense Records

Sources vary by business model. Each workflow follows client-approved access, entity definitions, provincial fields, account mappings, periods, source requirements and review responsibilities.

01

Accounting Systems

Ledgers, trial balances, journals, mappings, reconciliations and reporting extracts.

02

Canadian Bank and Card Accounts

Statements, deposits, transfers, payments, fees and authorized card activity.

03

Vendor and Procurement Records

Bills, purchase references, approvals, payment status and supporting documents.

04

Customer and Revenue Records

Approved invoices, receipts, credits, deposits, aging and payment records.

05

Payroll and Benefits Reports

Approved payroll summaries, employer liabilities, benefits and allocation-source files.

06

Contractor Payment Records

Approved contractor details, payment histories, source documents and status fields.

07

Expense and Reimbursement Records

Receipts, expense reports, card records, reimbursements and approval references.

08

Tax-Professional Source Files

Client-approved bookkeeping, contractor, sales-tax, expense and account schedules for authorized advisers.

CANADIAN ACCOUNTING WORKFLOW

From Authorized Source Records to a Human-Reviewed Accounting Package

Each stage follows approved entities, provinces, periods, systems, accounts, sources, review points, permissions and escalation procedures.

01

Scope and Canadian Data Rules Confirmed

Entities, provinces, periods, services, systems, reviewers, source requirements and exclusions are documented.

02

Authorized Records Received

Bank, card, vendor, customer, payroll-source, contractor, expense and reporting data is received.

03

Financial Inventory Created

Source, entity, province, period, account, amount, category, document and status fields are logged.

04

Records Prepared and Mapped

Approved bookkeeping, AP, AR, payroll-source, expense and account mappings are applied.

05

Human Review Performed

Source, entity, province, period, amount, account, category, version and completeness are reviewed.

06

Accounts Reconciled

Bank, card, ledger, receivable, payable, payroll-source and approved schedules are compared.

07

Exceptions and Questions Logged

Missing support, unclear mappings, unresolved balances and professional decisions remain visible.

08

Canadian Review Package Prepared

Updated records, reconciliations, schedules, reports and open items are prepared for approval.

ENTITY, PROVINCE AND REPORTING DIMENSIONS

Keep Canadian Financial Activity Connected to Approved Business Structure

Canadian reporting may require approved separation by legal entity, province, territory, branch, location, department, cost centre, customer, vendor, employee, contractor, bank or reporting group.

Unclear ownership, provincial assignment, account treatment, contractor status, sales-tax source fields or reporting dimensions are flagged for confirmation rather than independently determined.

Explore Dashboard Data Preparation β†’
01Legal entity and business unit
02Province, territory and location
03Customer and revenue source
04Vendor and expense category
05Bank, card and payment account
06Employee and contractor reference
07Payroll and benefit source field
08Sales-tax source and professional-review status
09Open-question ownership
10Human-reviewed reporting status
AI ASSISTANCE AND HUMAN CANADIAN ACCOUNTING REVIEW

Technology Supports Processingβ€”People Review the Financial Context

AI-generated classifications, matches, duplicate alerts, recurring-item suggestions and missing-field indicators remain subject to human review and client-approved rules.

AI MAY ASSIST

Classification and Matching Support

  • Transaction-category suggestions
  • Invoice and expense classification
  • Bank and ledger match suggestions
  • Recurring-item detection
  • Potential duplicate alerts
  • Missing-field indicators
HUMAN REVIEW

Source and Record Validation

  • Entity, province, period and source review
  • Vendor and customer checks
  • Account and category validation
  • Bank and card reconciliation review
  • Version and completeness checks
  • Open-item and exception review
CLIENT AND AUTHORIZED PROFESSIONALS

Tax, Policy and Final Decisions

  • Set accounting and tax policy
  • Determine worker classification
  • Approve payroll and tax filings
  • Determine GST, HST, PST and QST treatment
  • Perform assurance or public-accounting services
  • Approve final accounting and reporting
TAX-PROFESSIONAL SOURCE-DOCUMENT SUPPORT

Organize Contractor, Sales-Tax and Expense Records Without Preparing Returns

Source-document support can prepare approved contractor payment records, GST/HST/PST/QST fields, expense files, account schedules, document indexes and open-question logs for authorized professionals.

The client and its authorized tax professionals retain responsibility for worker classification, T4 or T4A reporting, registrations, place-of-supply, taxability, rates, input credits, deductions, elections, calculations, returns, filing and representation.

Explore Tax Document Organization Support β†’
01

Contractor Source Records

Prepare approved contractor names, identifiers supplied by the client, payment amounts and source documents.

02

GST, HST, PST and QST Source Records

Organize approved sales, purchases, tax fields and exemption-source data without making tax conclusions.

03

Expense and Deduction Source Files

Prepare approved invoices, receipts, account details and support schedules for professional review.

04

Tax-Professional Handoff Index

Provide approved account schedules, document references, open questions and version status.

MONTH-END CLOSE AND MANAGEMENT REPORTING

Prepare Reconciled Inputs for Client and Professional Review

Close support can prepare approved bank, card, receivable, payable, payroll-source, liability, asset and management-reporting schedules.

AI Accounting Services prepares and reviews source data. The client and its authorized professionals approve journal entries, estimates, accruals, financial statements, tax treatment and management conclusions.

Explore Month-End Close Support β†’
01

Bank and Card Reconciliations

Prepare approved bank, card, transfer, deposit and outstanding-item schedules.

02

Receivable and Payable Schedules

Organize approved aging, unapplied cash, vendor balances, credits and open items.

03

Payroll and Liability Source Schedules

Compare approved payroll reports, employer liabilities, payments and ledger records.

04

Management Reporting Inputs

Prepare approved income, expense, cash-flow, department and dashboard-ready data.

CANADIAN ACCOUNTING DELIVERABLES

Provide Updated Records, Reconciliations and Professional-Review Files

Deliverables follow the approved entities, provinces, periods, systems, source requirements, professional instructions, review hierarchy and release controls.

01

Updated Canadian Accounting Records

Human-reviewed bookkeeping, AP, AR, payroll-source, expense and ledger-support data.

02

Bank and Card Reconciliations

Prepared reconciliation schedules with source references and unresolved-item details.

03

Vendor, Customer and Contractor Schedules

Approved bill, invoice, receipt, payment, aging and contractor-source files.

04

Tax-Professional Source Package

Approved account schedules, document indexes, contractor records and sales-tax source files.

05

Close and Reporting Package

Reconciliations, account schedules, cash-flow inputs and dashboard-ready data.

06

Open-Item and Exception Register

Missing records, unresolved balances, unclear mappings and professional decisions requiring action.

CANADIAN ACCOUNTING QUALITY CONTROLS

Checks Applied Before Financial Records Are Released for Review

Controls are adapted to business type, entities, provinces, periods, accounting systems, bank accounts, vendors, customers, payroll sources, contractor records, review points and approval structures.

Explore Our Quality Framework β†’
01Authorized-entity and source confirmation
02Province, period, location and account validation
03Vendor, customer and contractor mapping checks
04Invoice, receipt and source-document linkage
05Bank and card reconciliation checks
06Payroll-source and liability comparison
07Duplicate and version review
08Schedule and control-total comparison
09Exception ownership and status
10Human-reviewed Canadian handoff package
CONFIDENTIALITY, ACCESS AND DATA MINIMIZATION

Canadian Business Data Access Should Match the Assigned Accounting Workflow

Clients retain authority over accounting platforms, bank accounts, customer and vendor records, payroll providers, contractor data, user permissions, tax workpapers, retention rules and final reports.

01Role-based and client-approved access
02Minimum necessary Canadian business financial data
03Approved source systems and folders
04No independent payment, filing or representation authority
05Client-defined retention and deletion
06Change, correction and exception records
CANADIAN ACCOUNTING AND PROFESSIONAL BOUNDARIES

Accounting Operations Do Not Replace CPA, Tax, Assurance or Legal Judgment

AI Accounting Services provides Canadian bookkeeping, AP, AR, reconciliation, payroll-source, contractor-record, expense, tax-document organization, close and reporting-data support using client-approved systems, records, policies and instructions.

AI Accounting Services is not a Canadian CPA firm, public accounting firm, audit firm, law firm or tax-return preparation provider and does not independently determine accounting policy, worker classification, payroll calculations, GST, HST, PST or QST treatment, input credits, deductions, elections, filing obligations or legal conclusions.

AI Accounting Services does not issue audits, review engagements, compilation engagements, attestations, certifications or assurance opinions; prepare or file tax returns or information returns; represent clients before the Canada Revenue Agency or other authorities; authorize payments; or approve final financial statements.

Final accounting, payroll, contractor, sales-tax, tax, legal, assurance, filing, payment, reporting and management decisions remain with the client and its authorized professionals. The service does not promise perfect accuracy, completion timing, tax savings or accounting, payroll, tax, legal, assurance or regulatory compliance.

Read the Professional Services Disclaimer β†’
CANADIAN ACCOUNTING FAQS

Questions About AI-Assisted Accounting Services for Canadian Businesses

These answers explain bookkeeping, AP, AR, contractor records, sales-tax data, tax-professional support, AI assistance and professional boundaries.

View All FAQs β†’

Support can include bookkeeping, AP, AR, bank and card reconciliation, payment posting, payroll-source data, contractor records, employee expenses, close preparation and financial-reporting inputs.

BUILD A CONTROLLED CANADIAN ACCOUNTING WORKFLOW

Organize Bookkeeping, AP, AR, Payroll Sources and Reporting Data

Tell us about your business type, entities, provinces, locations, accounting systems, banks, cards, vendors, customers, payroll and contractor sources, close calendar, reporting needs and known reconciliation gaps.