Cannabis bookkeeping services

Systems designed for the way you operate.

Practical, accurate support for daily bookkeeping, multi-entity complexity, compliance documentation, and growth.

Monthly bookkeeping

Keep financial records organized, categorized, reconciled, and up to date.

Accounts payable

Manage vendor bills, payment schedules, supporting documentation, and balances.

Accounts receivable

Track invoices, payments, deposits, and unpaid customer balances.

Bank and cash reconciliations

Reconcile banks, credit cards, cash activity, and financial accounts.

Payroll support

Maintain organized payroll records, employee documentation, and reporting.

Inventory and cost tracking

Support accurate inventory expenses and cost-of-goods-sold records.

Multi-entity accounting

Separate records for legal entities, licenses, locations, and activities.

Financial reporting

Monthly statements for profitability, expenses, cash flow, and performance.

Accounting cleanup

Review, correct, and organize prior-period records for a reliable starting point.

Built for complexity

Consistent systems across entities and locations.

Standardized chart of accounts
Consistent transaction coding
Entity and location reporting
Intercompany processes
Monthly reconciliation procedures
Supporting-documentation standards
Standard operating procedures
Audit-ready records

Ready for better books?

Start with a clear assessment of your financial records.

Schedule a consultation