Ready to streamline your bookkeeping control?
Contact TallyPointX at +14164076873 or visit our office at 301 Front Street West, Toronto, ON M5V 2T6, Canada to discuss how we can support your account management needs.
TallyPointX offers structured bookkeeping control and detailed account reconciliation to ensure transparent, up-to-date financial records for businesses in Canada. Our methods help you stay organized and compliant.
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Our experts examine every transaction entry for correct categorization and consistency, helping maintain reliable financial records.
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We match your internal records with bank and vendor statements to uncover discrepancies and deliver clear, reconciled reports.
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Continuous oversight from our team helps you detect irregularities early and keep your books current throughout the year.
Learn MoreContact TallyPointX at +14164076873 or visit our office at 301 Front Street West, Toronto, ON M5V 2T6, Canada to discuss how we can support your account management needs.

Michael leads our ledger review team with over eight years of hands-on bookkeeping experience guiding precise record maintenance.

Priya specializes in matching financial statements to internal records and identifying discrepancies for prompt resolution.

Daniel analyzes transaction flows and assists with control measures to ensure ongoing data accuracy and clarity.

Sara manages client onboarding, coordinates document transfers and serves as your primary point of contact for project updates.
TallyPointX delivers robust bookkeeping control and account reconciliation services designed to streamline financial record management for Canadian businesses. Our tools and secure processes help maintain accurate ledgers, detect discrepancies, and ensure compliance with local regulations, all while reducing manual effort.
Utilize automated routines to capture, categorize, and verify every transaction. Our system flags inconsistencies immediately, so you stay informed about any irregularities without sifting through spreadsheets.
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Perform bank and internal account reconciliations in real time. Our platform matches entries against statements, highlights mismatches, and accelerates closing cycles to keep your books current.
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Generate tailored reports that reflect your specific control objectives. From variance analysis to trend summaries, access clear insights that support decision making and operational reviews.
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Our team reviews your existing bookkeeping workflows, data sources, and reconciliation needs. We map out a customized plan that aligns with your organizational structure and risk profile.
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Conduct a comprehensive audit of reconciled accounts and transaction logs. Document findings, adjust configurations, and ensure all discrepancies are resolved before final sign-off.
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Receive continuous monitoring, monthly reconciliations, and expert assistance. Our support team is available to address questions, refine processes, and keep your records in top condition.
Discover Our Approach →Access a team of bookkeeping and reconciliation experts who understand Canadian reporting standards. Our specialists focus on accuracy, consistency, and process efficiency.
See Team ExpertiseYour financial information is protected with encryption, multi-factor authentication, and role-based access controls. We ensure confidentiality and compliance at every step.
See Team ExpertiseBenefit from Canadian-based assistance, available during business hours in the Eastern Time Zone. We provide timely responses and personalized service.
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