Use Cases

One recipe engine. Every data source your accounting team touches.

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Available in Beta

Payment Processor Reconciliation

Turn daily payouts from Stripe, Square, PayPal, Shopify, or Amazon into balanced journal entries. Fees, refunds, disputes, and net deposits — all mapped to your GL.

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Available in Beta

Payroll Journal Entries

ADP, Gusto, Paychex, or custom exports. Map gross pay, employer taxes, benefits, deductions, and net pay to your exact chart of accounts.

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Coming Soon

Revenue Recognition

Subscription accruals, deferred revenue schedules, and ASC 606 compliance. Automated from your billing system data.

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Coming Soon

Credit Card Expense Reconciliation

Corporate card statements to journal entries. Categorize transactions, assign GL codes, and post with proper expense classifications.

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Coming Soon

Bank Feed Categorization

Automatically categorize and post bank transactions using learned patterns and your accounting rules. Fewer manual entries, faster reconciliation.

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Coming Soon

Multi-Entity Consolidation

Handle intercompany eliminations, multi-location reporting, and subsidiary consolidation with composable recipe pipelines.

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How It Works

1

Upload your data

CSV from any system — payroll provider, payment processor, bank, or custom export.

2

Apply a recipe

LedgerSkill matches a pre-built recipe or helps you build one. AI that understands double-entry accounting.

3

Export import-ready files

Download balanced journal entries formatted for QuickBooks, Xero, Sage, or any accounting software.

Ready to try it?

Request beta access and we'll set you up with a recipe for your specific workflow.

Request Beta Access