

Stop Guessing Your Profit Margins.
Month end reconciliation is the heartbeat of a healthy business. It is the only way to know exactly where your money went and how much you actually have.
If you are tired of wondering if your numbers are right, our local team is here to help. We compare your internal records against bank and credit card statements to ensure every penny is accounted for.
The Result? You get financial clarity and zero stress at tax time.



Complete Month End Support
Preferred Bookkeepers provides a full reconciliation service so your books are always inspection-ready.
Bank Reconciliations
We verify every deposit and withdrawal to ensure your cash balance is real.
Credit Card Matching
We match every swipe and transaction to your records to prevent errors and catch duplicate charges.
Loan Verification
We track interest charges and principal payments on lines of credit and loans.
Error Correction
If numbers don't match, we find out why. We fix the issues so your books stay clean.
Monthly Financial Reports
We send you clear, simple statements. You will always know the financial health of your business.
Why Businesses Choose Us
We Are 100% Local
We never outsource your reconciliation to overseas contractors. All work is done right here in Edmonton by professionals who understand your business.
Judgment Free Support
If your books are messy or months behind, do not worry. We have seen it all. We are here to fix the problem, not judge the past.
Nonprofit Friendly
We offer specialized pricing and support for nonprofits that require strict financial accountability.
Behind on Your Books? We Can Fix That.
If you haven't reconciled in months, you are not alone.
We specialize in catch-up bookkeeping. We will take your shoebox of receipts or messy digital files and bring everything up to date. You get a clean slate and the confidence to move forward.


