Transactions, organized for business review
Capture income and expenses with the right ledger, account, and category. Add clients, vendors, projects, locations, and inventory lines when needed—then filter and reconcile with confidence.

A single place for every transaction
Search, filter, and understand what’s driving cashflow.
Capture details when you have them
Lightweight by default, deep when needed
Keep the default workflow fast, with optional depth for real operations and attribution.
Pick ledger, account, and category, then add notes so transactions stay understandable later.
Attach supporting files so review doesn’t rely on memory.

Link clients, vendors, and projects
Tie revenue and spend to the right counterparties and workstreams so reporting stays actionable.
Attribute income to clients and expenses to vendors when tracking requires it.
Tag activity to projects and add a location label when the “where” matters.

Review faster with consistent structure
A clear register makes daily and month-end review routine: filter, reconcile, and export summaries with confidence.
Drill down by date, amount, category, and account to answer questions quickly.
Turn entries into recurring rules so repeats stay predictable and reviewable.

Questions, answered
Make transaction review a daily habit
Capture clean entries, keep filters fast, and reconcile with confidence across ledgers and accounts.