Monthly QuickBooks Bookkeeping Canada

Job ID: 40264263

Budget: $30 – $250 CAD

My Canadian business relies on accurate, timely books each month. The entire workflow sits in QuickBooks Online, and I need a professional who can own the routine:

• Data entry – post all sales, purchase, and expense transactions from bank feeds, receipts, and invoices, ensuring each line is coded to the correct chart-of-accounts category and Canadian tax (GST/HST/PST) is applied properly.

• Reconciliation – complete end-of-month bank, credit-card, and payment-gateway reconciliations so balances in QuickBooks match the statements to the cent.

• Financial reporting – generate and share the monthly profit & loss, balance sheet, and cash-flow snapshot by the 10th of the following month, highlighting any anomalies or issues that need my attention.

Access to QuickBooks Online, banking portals, and receipt uploads will be provided. All work must follow CRA guidelines, and the books should always be ready for year-end review without extra cleanup.

If you are comfortable with continuous monthly cycles and can keep communication clear and concise, let’s set up access and agree on a start date for the first month-end close.