Accounting & Bookkeeping Firms

Accounting & Bookkeeping Firms

Keep client records, documents, engagement tasks, conversations, assignments, review queues, invoices, and reporting connected so the team can see what each client needs next.

Supported scope

What this workflow is designed to do.

Visible capabilities are separated from configuration requirements, preview surfaces, and roadmap work.

01

Client and entity context

02

Engagement and task workflows

03

Conversation history

04

Assignments and review queues

05

Accounting and invoices

06

Reports and team administration

The workflow

Four clear handoffs. Human control where it matters.

The exact action changes by product status and firm configuration, but the ownership boundary stays explicit.

01

Know

Keep the authorized client and entity context together.

02

Plan

Assign work, due dates, ownership, and review gates.

03

Execute

Move documents, conversations, tasks, and tax work forward.

04

Measure

Review status, billing, workload, and service history.

Straight answers

Know what you are buying—and what remains outside the claim.

Must we replace our current practice-management system?

No. Tax Automate can be the operating system or coordinate supported workflows around an external system of record.

Are all external systems connected?

No. Connection method, direction, and scope vary by provider and firm configuration.

Map this workflow to the systems your firm actually uses.

We will separate current capability, connector requirements, preview work, and roadmap needs before recommending a rollout.

Request a workflow review →
Status reflects the verified repository scope for this release. Provider configuration and firm permissions can further limit availability.