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Bookkeeping,
Payroll &
Accounting

Accurate, timely, and fully compliant financial records for businesses on both sides of the border. We handle your books, payroll, and reporting — so you can focus entirely on growth.

Canada • United States • Cross-Border Expertise
100%
Compliance Rate
50+
Jurisdictions
15+
Yrs Experience
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Daily Bookkeeping Full Payroll Management Financial Reporting HST / GST / Sales Tax Filing Month-End Close CRA & IRS Compliant
Daily Bookkeeping Full Payroll Management Financial Reporting HST / GST / Sales Tax Filing Month-End Close CRA & IRS Compliant
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Our Full Service Suite

Three interconnected disciplines delivered as one seamless, integrated service.

Transaction Recording & Coding

Daily entry and categorization of all income, expenses, and bank transactions across all accounts.

Bank & Credit Card Reconciliation

Monthly reconciliation of all accounts to ensure your records match actual bank statements.

Accounts Payable & Receivable

Tracking money owed to you and by you — improving cash flow management and vendor relationships.

Expense Management

Systematic categorization of all business expenses to maximize deductibility and minimize tax liability.

Month-End & Year-End Close

Structured closing procedures to finalize each period's books accurately and on time.

Inventory Tracking

FIFO/LIFO/weighted-average inventory costing to support accurate COGS reporting and valuation.

Full Payroll Processing

Weekly, bi-weekly, or semi-monthly payroll runs with accurate gross-to-net calculations for all employees.

Source Deductions & Remittances

Accurate CPP/EI (Canada) and FICA/FUTA (US) deductions with timely remittance to CRA and IRS.

T4 / W-2 Preparation

Annual T4 slips (Canada) and W-2 forms (US) prepared, filed with agencies, and distributed to employees.

New Hire Reporting

Mandatory new hire reporting submissions to government agencies in both Canada and the United States.

Contractor & 1099/T4A Management

Proper classification and annual slip preparation for independent contractors and sub-contractors.

Workers' Comp & Benefits Admin

WSIB/WCB premium calculations and benefits deduction administration for group plans.

Financial Statement Preparation

Monthly/quarterly Balance Sheets, Income Statements, and Cash Flow Statements to professional standards.

HST / GST / Sales Tax Filings

Accurate Canadian HST/GST returns and US state sales tax filings — prepared and submitted on schedule.

Budgeting & Forecasting

Annual budgets and rolling forecasts that benchmark your performance and guide strategic decisions.

Management Reporting & KPIs

Custom management dashboards and KPI reports so you always know where your business stands.

Compilation Engagements

Notice-to-reader financial statements for banks, investors, and third parties requiring formal reporting.

Integration with Tax Planning

Your accounting feeds directly into our tax filing services — no information gaps, no duplicate work.

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The T&F Difference

There's no shortage of bookkeepers. Here's why cross-border businesses trust T&F Corner.

True Cross-Border Expertise

Most bookkeepers know one country. Our team knows both — CRA compliance and IRS requirements are second nature to us.

Integrated with Tax Services

Because we also handle your tax filings, your books are always prepared with year-end efficiency and tax optimization in mind.

Dedicated Account Contact

One dedicated professional who knows your business deeply — not a different face every time you call.

Deadline-Driven Precision

CRA and IRS deadlines are non-negotiable. We maintain a rigorous filing calendar — no surprises, no penalties.

Plain-Language Reporting

We translate financial data into clear, actionable insights — so you always understand what your numbers mean.

Platforms We Support

QuickBooks Xero Sage Wave ADP Ceridian Gusto Hubdoc

Service Packages

All packages are fully customizable. Contact us for a tailored quote.

Essential

Startup &
Sole Proprietors

For new businesses and independent operators needing clean, compliant books.

Monthly reconciliation
HST/GST quarterly filing
Year-end financial statements
Basic expense tracking
Annual T4/W-2 (up to 3 employees)
Get a Quote
Cross-Border

Dual-Jurisdiction
Operations

For businesses operating in both Canada and the US with coordinated compliance needs.

Everything in Business
Dual-jurisdiction payroll
USD/CAD multi-currency
US & Canadian tax filings
Intercompany reconciliations
Get a Quote
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Frequently Asked
Questions

Don't see your question? We're happy to talk through your specific situation — just book a free call.

Ask Us Anything
No — we work with whatever platform you're currently on. QuickBooks, Xero, Sage, Wave, or even spreadsheets. If a migration would benefit you, we'll discuss it during onboarding, but it's never a requirement.
We manage multi-entity and multi-currency accounting regularly. We maintain separate ledgers for each legal entity, handle USD/CAD conversion at appropriate rates, and produce consolidated financials where needed. CRA and IRS compliance is tracked separately for each jurisdiction.
Absolutely. Mid-year transitions are common. We'll review what's been done, identify any gaps or errors, and bring the books up to date before taking over ongoing management. We handle the cleanup.
Standard engagement includes monthly financial statements delivered within 10 business days of month-end, plus a brief review call. Quarterly or weekly reporting is available on higher-tier packages or as a custom add-on.
Forward it to us immediately. We'll review the notice, assess what action is required, and respond on your behalf or guide you through the process. For work we've prepared, we stand behind our filings.

Clean Books.
Confident Decisions.

Whether you need to clean up a backlog, set up bookkeeping from scratch, or upgrade to professional-grade accounting — start with a free consultation.

(647) 528 0200 info@bobbyfinancials.ca ON & NY