Connected stack
Northwind Group
Track entries, match banks, and keep reports ready for close day.
Northwind Group
Vertex Labs
Orion Foods
FOR FINANCE TEAMS
Keep your books clean with cloud ledgers, double-entry checks, invoice and expense tracking, and bank rec in one place. Start free, no card needed.

Connected stack
Track entries, match banks, and keep reports ready for close day.
Northwind Group
Vertex Labs
Orion Foods






CORE LEDGER TOOLS
Keep one clean ledger across teams, offices, and devices.

Keep one clean ledger across teams, offices, and devices.

Catch unbalanced posts before they reach month-end close.

Track bills, open invoices, and due dates in one view.

Log card buys, receipts, and reimbursements fast.

Match bank feeds to ledger lines with fewer manual edits.

See every change, note, and time stamp in one place.
WHO IT FITS
Keep books clean while you ship, raise cash, and close each month on time.
Keep one clean ledger across teams, offices, and devices.
Catch unbalanced posts before they reach month-end close.
Track bills, open invoices, and due dates in one view.
Log card buys, receipts, and reimbursements fast.

Use case 01
Keep books clean while you ship, raise cash, and close each month on time.

Use case 02
Track cash, bills, and bank matches without living in spreadsheets.

Use case 03
Review client books, separate entities, and pull audit-ready files fast.
cloud uptime

cloud uptime
bank rec setup
audit log access
balanced entries
PRICING
1 ledger workspace 100 monthly entries Invoice and expense logs Bank feed import Basic cash reports
$0
1 ledger workspace
100 monthly entries
Invoice and expense logs
Bank feed import
$39
Unlimited ledger lines
Double-entry checks
Bank feed matching
Invoice and bill tracking
Custom
Multi-entity books
Role-based access
Audit log exports
Custom report views
Proof
“Month end went from chaos to a clean checklist in one week.”

Maya Chen
Finance Lead @ Harbor Peak
“Bank matches are fast enough that our team closes before lunch.”

Derek Madsen
Controller @ Northstar Foods
“Client books stay tidy, and the audit trail is ready when we need it.”

Elena Cruz
Partner @ Cedar Line CPA
Integrations
Track entries, match banks, and keep reports ready for close day.

Track entries, match banks, and keep reports ready for close day.

Track entries, match banks, and keep reports ready for close day.

Track entries, match banks, and keep reports ready for close day.

Track entries, match banks, and keep reports ready for close day.
The Map
Journal

Questions
Quick answers before visitors choose a product, service, or next step.
Yes. Free gives you one ledger workspace, invoice and expense logs, and bank import for a small team. No card needed.
Yes. Connect a bank feed or upload CSV files, then match each line to your ledger in a few clicks and check the totals.
Yes. Every post must balance, so the system flags gaps before month-end close and keeps the audit trail clean.
Yes. You can separate client books, review edits, and export audit logs for each file when the client asks.
You get cash, profit, balance, and account views with filters by date, entity, and tag for quick close checks.
Yes. Pro and Enterprise add roles, approval steps, shared workspaces, and simple admin controls for finance teams.
Get one short email a month with close dates, book checks, and product news. No noise.