Bookkeeping for Law Firms in Toronto
Toronto law firms and legal practices trust My Book Solutions for trust account reconciliation, CRA compliance, payroll, and monthly financial reporting — supervised by CPA, handled by certified bookkeepers.
Why Law Firms Choose Us
We understand the unique financial and compliance requirements of running a law firm in Ontario.
Accurate monthly reconciliation of trust accounts in full compliance with Law Society of Ontario requirements.
Meticulous tracking of operating accounts, disbursements, and client billing for clean, audit-ready books.
HST filing, payroll remittances, and year-end preparation handled by certified bookkeepers supervised by a CPA.
Timely payroll for lawyers, paralegals, and administrative staff — including source deductions and T4s.
Detailed tracking of disbursements, overhead, and client-related expenses for accurate billing and reporting.
Clear monthly statements so you always have a precise picture of your firm's financial health.
“My Book Solutions handles our trust account reconciliation flawlessly. Their knowledge of Law Society requirements gives our firm complete confidence every month.”
Credentials & Associations
Common Questions
Yes. We specialize in trust account reconciliation that meets Law Society of Ontario rules, ensuring your firm stays fully compliant.
Absolutely. We manage trust account reconciliation alongside your general operating accounts, disbursements, and client billing records.
Yes. We handle HST filing, payroll processing for all staff, source deductions, and T4 preparation — all supervised by a CPA.
We can typically onboard a new law firm client within one week. Contact us for a free consultation to get started.
Join Toronto law firms that trust My Book Solutions for accurate, LSO-compliant trust account reconciliation and bookkeeping every month.