Bukki
PricingFor businessesFor accountantsBlogAbout usResources

For accountants

Accounting software for firms that need cleaner client books.

Bukki helps accountants manage client workspaces, review bank-fed transactions, keep audit trails, and produce reports from books that stay organized throughout the month.

Accountants collaborating on client books
Clientworkspaces keep each business separate, organized, and easy for firms to manage.
Audithistory helps accountants see what changed, who changed it, and when.
Reportscover Profit & Loss, Balance Sheet, Trial Balance, receivables, VAT, and WHT.

Firm workflow

Move clients from messy records to reliable monthly books.

Bukki gives accountants a shared workspace for the work that usually breaks rhythm: incomplete records, uncategorized transactions, missing context, late reports, and month-end cleanup.

Manage client portfolios

Create and oversee client workspaces from one firm view, with access and billing designed around covered clients.

Work from connected bank activity

Reduce cleanup time by reviewing categorized transactions instead of rebuilding books from raw statements.

Trust the audit trail

Track category changes, approvals, ledger updates, and firm activity so reviews do not depend on memory.

Produce financial statements

Open client Profit & Loss, Balance Sheet, Trial Balance, receivables, and other reports without rebuilding them.

Export tax-ready records

Prepare VAT, WHT, NRS, CSV, and PDF outputs from the same source of truth you use to manage the books.

Spend more time advising

Bukki handles repetitive bookkeeping work so accountants can focus on review, compliance, and better client decisions.