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Bookware Accounting

The Accounting program processes all changes in inventory and produces up-to-date and accurate account profiles. Accounts Receivable, Accounts Payable, and General Ledger are all included in Bookware Accounting, enabling you to:

  • Reconcile your cash daily
  • Edit the exchange rate
  • Reconcile bank statements
  • Run a trial balance, prepare your GST and PST returns for the government
  • Reconcile vendor return credits, invoices and payments.
  • Multi-currency support
  • Canadian taxes
  • Daily cash reconciliation
  • Multiple account trial balance
  • Adjustable year-end
  • Multiple store support
  • Optional GL data export


Request a Demo

Are you ready to get started with Bookware Inventory Management? Contact us today to request your demo! A Carleton Technologies representative will get back to you shortly with more information on how to get started.