Every division, one truth.
Each division keeps its own accounts and tax, and the company reads them together — one reconciliation, one set of reports.
AppSite Books
Books keeps one master chart of accounts across every division. Invoices, payments, expenses and purchases post to it the moment they happen, the bank lines sit beside the ledger for reconciling, and the reports read from the same record.
Everyone who needs the numbers to be right.
Each division keeps its own accounts and tax, and the company reads them together — one reconciliation, one set of reports.
Invoices, payments, expenses and purchases arrive already posted to the right account under the division that made them; you reconcile, you do not re-type.
One master chart of accounts, GST and PST derived from the company’s compliance, a mapping every module posts through — resynced when it changes.
Books sums what the other modules post — invoices, payments, expenses, purchases, service and AI usage — into one ledger, with the bank kept apart until you reconcile it.
Post, reconcile, read.
Send an invoice, take a payment, scan a receipt — it lands on the right account.
Bank lines sit apart from the ledger until you match them — nothing is assumed.
Profit and loss, tax, per division — read from the ledger, not rebuilt.
The ledger, the chart, banking and the reports are part of every AppSite plan — one set of books for as many divisions as you run.
Let the modules post, match the bank, read the report.