KORAL ADVISORY · CANADA

Selling in two currencies and shipping across one border shouldn't mean keeping two sets of books.

Canadian e-commerce and SaaS businesses often serve both the Canadian and United States markets long before their finance function is built to handle it cleanly. We keep CAD and USD revenue, inventory, and reporting reconciled as one coherent picture.

Canada skyline

CFO & Finance Leadership

Fractional CFO Services

A senior finance lead who joins your business on a fractional basis and brings board-level thinking to decisions that can't wait for a full-time hire.

  • Structured monthly finance leadership cadence
  • Cash flow and working capital oversight
  • Board and investor reporting support
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Financial Strategy & Board Reporting

Board reporting and financial strategy work that gives your directors the information they need to make good decisions, presented clearly and on time.

  • Monthly or quarterly board package preparation
  • Forecasting and scenario modelling
  • Investor and stakeholder update support
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Capital Raise & Investor Readiness

Preparation for a fundraise that holds up once investors start asking the difficult questions, not just the easy ones.

  • Investor-grade financial model preparation
  • Data room organization and management
  • Support through the diligence process
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E-commerce & Marketplace Accounting

Shopify & Marketplace Accounting

Accounting built for how Shopify and marketplace platforms actually settle funds, so your books reflect what really happened, not just what hit your bank account.

  • Reconciliation across Shopify, Amazon, and other channels
  • Platform fee and refund mapping
  • Multi-currency sales handling, CAD and USD
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Inventory & Order Management Accounting

Inventory accounting that keeps pace with cross-border shipping, multiple warehouses, and the landed costs that come with both.

  • Landed cost calculation across CAD and USD
  • Inventory valuation and reconciliation
  • Warehouse and 3PL tracking support
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Core Accounting & Bookkeeping

Month-End Close

A disciplined month-end close process that produces reliable numbers on a predictable schedule, every month.

  • Structured close calendar and checklist
  • Full account reconciliation each period
  • Finalized close package on a fixed date
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Revenue Recognition & SaaS Metrics

Revenue recognized properly under current accounting standards, paired with the SaaS metrics your investors and board rely on.

  • Revenue recognition aligned to accounting standards
  • MRR, ARR, churn, and net revenue retention tracking
  • Deferred revenue schedule maintenance
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Financial Cleanup & Catch-Up Bookkeeping

Backlogged or disorganized books brought current accurately, so you're ready for financing, a sale process, or simply a clean starting point.

  • Historical transaction review and categorization
  • Multi-period bank and platform reconciliation
  • Rebuilt, accurate financial statements
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Accounts Receivable & Payable Management

AR and AP managed on a consistent schedule, protecting your cash position from both directions.

  • Invoicing and structured collections follow-up
  • Vendor bill processing and payment scheduling
  • Weekly aging report review
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Systems & Reporting

NetSuite Implementation & Support

NetSuite implementation configured around your actual operating model, with ongoing support once you're live.

  • Full implementation and system configuration
  • Chart of accounts and approval workflow design
  • Continued administrative support post-launch
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KPI & Management Reporting

Management reporting built around the specific numbers your leadership team needs to run the business day to day.

  • Custom KPI dashboard development
  • Regular management reporting cadence
  • Variance analysis against budget and forecast
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Company Formation

Federal/Provincial Incorporation

Federal or provincial incorporation handled correctly from the outset, with the structure decision made deliberately, not by default.

  • Federal or provincial incorporation filing
  • Founder agreements and share structure setup
  • Business bank account opening support
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Pricing

Staffing tiers built to scale with you

Every tier includes a dedicated accountant embedded in your business. Move up a tier as your books, your channels, and your reporting needs get more complex.

Junior Accountant

$1,600/mo
or $15/hr
  • Day-to-day bookkeeping and data entry
  • Bank and platform reconciliation
  • Accounts payable processing
Advanced

Senior Accountant

$4,200/mo
or $25/hr
  • Month-end close ownership
  • Revenue recognition and KPI reporting
  • Systems and process improvement
Enterprise

Account Manager

Let's Talk
custom scope & rate
  • Dedicated account leadership
  • Fractional CFO-level oversight
  • Custom reporting and team scaling
Canada

Ready to talk through what your business needs in Canada?