Bookkeeping, Tax & CRA Records Support in Vaughan
Year-round bookkeeping, corporate and personal tax, CRA financial-record support, HST/GST and payroll support for businesses, professionals and individuals across Woodbridge, Maple, Concord, Kleinburg and the wider Vaughan area.
Last updated: August 2026
Bookkeeping and tax records for Vaughan businesses
Vaughan has a strong mix of construction and trades businesses, real estate activity, retail operations, incorporated professionals and owner-managed companies across Woodbridge, Maple, Concord, Kleinburg and surrounding communities.
Taxxel supports Vaughan clients with monthly and catch-up bookkeeping, corporate and personal tax preparation, payroll and HST/GST records, and CRA financial-record support. The work is scoped from the actual accounts and supporting records rather than a generic package.
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.
Monthly Bookkeeping
Recurring reconciliations and reporting for Vaughan businesses and professional practices.
Contractor Bookkeeping
Organize project income, materials, subcontractor, vehicle and operating records for contractor businesses.
Real Estate Bookkeeping
Bookkeeping for agents, PRECs and brokerages, including commission and expense records.
Corporate Tax & T2
Corporate tax preparation supported by organized year-end books and schedules.
Payroll & HST/GST
Coordinate payroll and HST/GST records with the same general ledger.
CRA Notice Support
Review CRA correspondence and organize supporting financial records within Taxxel’s scope.
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 Vaughan.
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 RecordsIdentify project and operating accounts
Separate banking, credit cards, payroll, project costs and owner-paid transactions.
Reconcile sales and purchases
Match transactions to invoices, receipts, statements and available project records.
Review HST/GST and payroll
Keep filing balances connected to the books and resolve differences before deadlines.
Prepare for year-end and CRA questions
Maintain supporting schedules and explanations so later review work is easier to complete.
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.
