Bookkeeping & Tax Records for Businesses in Newmarket
Recurring bookkeeping, corporate and personal tax preparation, clinic and professional-practice bookkeeping, payroll and HST/GST records, and CRA financial-record support across Newmarket.
Last updated: August 2026
Bookkeeping and tax records for Newmarket practices and growing businesses
Newmarket has a broad mix of clinics, professional offices, retail operations, real estate activity, contractors and incorporated service businesses. For many of those clients, the most useful accounting workflow is one that ties day-to-day deposits and expenses to payroll, HST/GST and year-end tax records.
Taxxel provides recurring bookkeeping and tax preparation with an emphasis on clean reconciliations and supporting documentation. For professional practices, the bookkeeping can also be organized around the operational records used by the practice rather than a generic one-size-fits-all chart of accounts.
Choose the support that fits your records and filing needs
Taxxel can coordinate recurring bookkeeping, tax preparation, CRA financial-record support and related services based on the work your file actually requires.
Doctors & Clinics
Practice bookkeeping connecting deposits, operating expenses, payroll and corporate records.
Business Bookkeeping
Recurring bookkeeping and reporting for incorporated and owner-managed Newmarket businesses.
Corporate Tax & T2
Corporate return preparation supported by reconciled year-end records and supporting schedules.
Payroll & HST/GST
Coordinate remittance and filing records with the general ledger used for the business.
Personal Tax
T1 preparation for individuals and families with supported income, deduction and credit information.
CRA Financial Records
Organize bookkeeping records when CRA requests invoices, statements, ledgers or reconciliation support.
Records and filing guides that may help
These guides cover common record-keeping and review questions that can come up for businesses and professional practices in Newmarket.
OHIP Remittance Reconciliation
How medical practices can reconcile remittance information, deposits and accounting records each month.
CRA Business Records Checklist
A practical guide to preparing financial records when CRA requests support for a business filing period.
RECO Brokerage Records Checklist
A financial-record readiness checklist for Ontario real estate brokerages.
A practical path from source records to a usable file
The exact work varies by client, but a consistent process helps keep bookkeeping, filing records and supporting documents easier to review and maintain.
Discuss Your RecordsStart from source systems
Identify where revenue, deposits, payroll and expenses originate so the bookkeeping reflects the actual operating workflow.
Reconcile deposits and expenses
Tie bank and credit-card activity to the records used by the clinic, practice or business.
Review tax-sensitive balances
Check HST/GST, payroll, shareholder and other balances that can create year-end issues if they are left unresolved.
Build a reusable record trail
Keep the supporting schedules and documents organized for year-end preparation and future information requests.
Common questions about working with Taxxel
Need help deciding the right starting point?
Tell us whether the need is bookkeeping, tax, CRA records support, catch-up work, or an industry-specific financial-record matter. We will route the enquiry appropriately.
