About Us

Who We Are
TallyPointX specializes in delivering thorough bookkeeping control and account reconciliation services tailored to Canadian organizations. Our team combines industry best practices with detailed workflows to promote accurate record keeping.
«At TallyPointX, we believe that maintaining clear and accurate records forms the backbone of any efficient organization.»
Expert Control and Reconciliation
At TallyPointX, our bookkeeping control and account reconciliation services are designed to validate every transaction recorded in your ledgers and align them with bank and vendor statements. We implement structured review processes that involve systematic verification, error flagging, and classification of entries to ensure consistent organization. Our team conducts periodic reconciliation cycles, matching payments against invoices, identifying nonmatching items, and creating detailed discrepancy reports for swift resolution. By integrating these procedures into a regular schedule, businesses can maintain orderly records, optimize reporting deadlines, and reduce the manual workload on internal teams. This approach reinforces confidence in your accounting data and supports auditors or regulatory reviewers through clear documentation and transparent workflows.