Make Zens of your Accounting

The AI accounting platform for Canadian SMBs and accounting professionals

  • Books and financial statements in minutes
  • Automatically matches uploaded receipts and invoices
  • Trace and digital evidence storage for SMBs and firms

Platform

Faster books, zero manual tie-backs, absolute peace of mind

Eliminate tedious spreadsheet reconciliation and manual receipt hunting. Get accurate books and reports while you are in full control.

Financials in minutes

Generate financial statements and a tax guiding summary instantly.

Audit traceability

Automatically match every uploaded receipt and invoice.

Human-in-the-loop

AI does the heavy lifting; you make the final decision at review checkpoints.

How it works

How human-in-the-loop AI works

AI does the heavy lifting. You retain complete oversight.

1AI

Sync data and receipts

Connect Xero (or similar). Drag and drop invoices and receipts, or photograph documents and upload.

2CPA

AI prepares and matches

Categorize transactions, match receipts, and draft period reports.

3Deliver

Review and approve

Review exceptions, approve numbers, and download statements and GST/HST summaries.

Bookkeeping

No more searching through shoeboxes or emails for receipts

Manual audit prep can take days of cross-referencing statements against paper. Caipibara automates the paper trail.

  • Line-by-line statement matching so AI ties incoming receipts to specific credit card or bank feed charges.
  • Automated evidence vault for digital copies of bills, invoices, and receipts linked to your GL accounts.
  • Document intake by drag and drop, or photograph documents and upload.
  • Canadian CRA-ready records so you keep a clean paper trail with less extra effort.
Workflow · Bookkeeping engagement
Verify Required Documents
Complete
Reconcile Bank Accounts
Needs Review
GST / HST Reconciliation
Pending
Periodic Reporting
Pending

Reporting

Reporting the AI drafts; the firm stands behind

Get clear financial statements in minutes, with GST/HST and input tax credits built in. Not a generic global tax template.

  • Financial statements from the live ledger (P&L, balance sheet, and related views).
  • GST/HST summary mapped to the tax GL accounts your firm reconciles, including input tax credits.
  • Customize presentation, including account codes, to match firm review packs.
  • Downloadable packages for review, client delivery, and sharing with your CPA.
GST/HST Summary · Q1 2026
AccountAmount
2100 GST/HST collected$3,250.00
1090 Input tax credits($1,430.00)
Net remittance due$1,820.00

GL codes visible with Customize → Show account codes

Tax return filing

Corporate T2 fill guide from books the firm already trusts

A dedicated tax return queue for corporate clients, separate from bookkeeping engagements. Built for transcription into your tax software, not CRA e-file.

  • Firm-wide queue of tax returns by client, fiscal year, and type (T2 today), with books and filing status at a glance.
  • Prior-year books gate so a return starts only when the fiscal year is complete (engagements or verified history).
  • Guided prep steps: collect client information, prepare tax figures from books and reports, then open the fill guide.
  • T2 line guide with line, description, and amount for staff to enter in tax software. Line math stays tool-driven; your firm stands behind the return.
Tax return · Acme Corp · FY 2025 · T2
Collect information
Complete
Prepare tax figures
Complete
T2 fill guide
Needs Review
LineAmount
200 · Net income$184,200.00
300 · Taxable income$168,450.00
890 · Balance$12,340.00

Who it’s for

Tailored for small businesses and accounting practices alike

Built for SMBs and accounting firms. Not a DIY bookkeeping tool.

SMBs

Get clear financial statements in minutes. Track expenses with receipt backing, then share organized packages with your CPA.

Accounting professionals

AI handles data entry and categorization. Staff review exception queues on a multi-tenant dashboard with CPA checkpoints.

Canadian practices

Built in Canada, with GST/HST summaries and financial statements across engagements.

Security

Built in Canada, for Canadian trust standards

We follow Canadian privacy standards, secure data handling, and industry practice for data and privacy security.

Human control

Calculations are deterministic and verifiable. AI never operates as a black box without human sign-off.

Audit-ready vault

Every expense is tied to receipt proof, so your business or firm has a cleaner trail when CRA reviews.

Multi-tenant workspace

Firm workspace with client and engagement scoping. Each firm’s data is isolated.

Canadian data residency

Hosted in Canada with PIPEDA in mind. Client data stays in Canada.

Experience AI bookkeeping built for Canada

See how Caipibara generates financial statements in minutes, ties receipts to statements, and keeps humans in control.

Prefer email? Reach us at hello@caipibara.com