Crypto & treasury GL
Investment and stablecoin wallet accounts, lot tracking, and capital-gains schedules alongside operating books.
For bookkeepers
Pemabu is built for bookkeepers whose clients hold treasury balances, exchange accounts, and on-chain activity — not just a generic SMB chart of accounts. Reconcile, lock periods, and export statements with an audit trail QuickBooks struggles to match for mixed-asset operators.
When to open your workspace
Open your workspace to start Firm Starter onboarding, switch client orgs, or run period close in a client ledger.
Open workspace →Firm-in-a-box
$79 / mo
Multi-client workspace for aspiring bookkeepers — 3 client companies, client portal, branded PDF reports, and firm hierarchy. Grow your practice; clients stay on Pemabu.
Each client org you add is a future direct Pemabu customer. The product teaches close discipline; you bring the clients.
Investment and stablecoin wallet accounts, lot tracking, and capital-gains schedules alongside operating books.
Reconciliation studio, checklist-driven period close, and locked periods — professional standards from day one.
Activity log, role-based access, and exportable close artifacts for client review and CPA handoff.
COA mapping templates and import paths for QuickBooks and Xero exports — move clients who outgrew generic tools.
Move clients from QuickBooks or Xero with COA mapping templates and a 30-day first-close checklist. Available in the product after signup under Help → Migration Kit.
No separate Academy or certification yet — the product teaches close discipline as you work.
For boutique crypto-CPA firms
Serve mixed-asset clients with programmatic portfolio sync, lot-level gain/loss, Form 8949 exports, and a multi-client firm dashboard — alongside the same close-native books your staff already use.
Create portfolios, sync on-chain and exchange activity, query gain/loss aggregates, and pull tax-package exports — authenticated with firm-scoped API keys.
Switch client orgs, review sync history, and download capital-gains schedules from a dedicated firm UI — without provisioning allocation modules for every client.
Operating books, reconciliation studio, and portfolio accounting share one org boundary — CPAs get GL close artifacts and investment tax exports from the same platform.
Who it's for: Boutique firm with crypto-treasury and on-chain clients · Solo CPA building a digital-asset practice on Firm Starter · Family office outsourcing books + lot tracking to a specialist firm
Starter
$49 / mo
Single org, bank feeds, categorization, and monthly P&L.
Professional
$129 / mo
Reconciliation studio, period close, and full statement pack.
Firm Starter
$79 / mo
Firm-in-a-box: 3 client orgs, portal, branded reports, migration kit.
Firm
$299 / mo
Multi-org switcher, team roles, audit trails, and client dashboards.
Close + Attest
$399 / mo
Period close + Flomisma settlement anchor GL + portal daily attestation (attestation, not custody).