GST/HST BOOKKEEPING SUPPORT · TORONTO & GTA

Keep your GST/HST records organized and ready.

Simplide helps Toronto and GTA small businesses maintain clear GST/HST bookkeeping records. We organize source documents, track recorded tax amounts, reconcile agreed accounts and prepare filing-period summaries for your review or qualified tax professional.

WHO THIS HELPS

Support shaped around your needs.

Registered small businesses

For owners who need a dependable routine for organizing GST/HST-related sales and purchase records.

Businesses approaching a filing period

For teams that want supporting records and bookkeeping summaries prepared before their filing work begins.

Owners with missing documents

For businesses that need a clear list of receipts, invoices, statements or explanations still outstanding.

Businesses working with an accountant

For clients who want an organized bookkeeping package to share with their accountant or tax professional.

WHAT SIMPLIDE DOES

Clear, practical support.

Sales and purchase record organization

Organize invoices, receipts and transaction records connected with the applicable filing period.

Recorded tax tracking

Maintain GST/HST amounts in the bookkeeping system using the information and classifications approved by the business or its qualified advisor.

Account reconciliation

Compare agreed bank, credit-card and sales-system activity with the bookkeeping records and identify unresolved differences.

Filing-period summary

Prepare an organized bookkeeping summary, supporting-document folder and outstanding-items list for review.

Simplide provides bookkeeping and administrative support. We do not provide individualized tax advice or determine tax treatment. The client remains responsible for GST/HST registration, classifications, filings, approvals, remittances and obtaining qualified professional advice where required.

HOW IT WORKS

A straightforward process.

01

Confirm the bookkeeping period

We define the period, accounts, systems and records included in the agreed scope.

02

Collect and organize records

You provide sales records, purchase documents, statements and prior filing information relevant to the work.

03

Reconcile and document questions

We organize the activity, reconcile agreed accounts and flag missing or unclear items for your response.

04

Prepare the review package

You receive an organized summary and supporting records for your approval or professional filing process.

COMMON QUESTIONS

Helpful answers before we begin.

Does Simplide decide which GST/HST treatment applies?

No. Tax classification and eligibility questions must be confirmed by the business using current CRA guidance or an appropriately qualified tax professional.

Can you help when GST/HST records are behind?

Yes. We can assess the overdue periods, available records and reconciliation work, then provide a customized catch-up scope.

Do you file or remit GST/HST for the business?

The exact administrative scope is confirmed in writing before work begins. The business remains responsible for registrations, filing accuracy, deadlines, approvals and remittances.

READY WHEN YOU ARE

Let’s make the next step clearer.

Tell us what you need and we’ll explain how Simplide may be able to help.

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