Canada / Development services
POS and Accounting Development in Canada
Custom POS and accounting development for Canada. Plan CAD and USD sales, province specific tax mapping and reconciled customer accounts.
The workflow to plan
A Canadian implementation begins with the provinces served, legal entities and required languages. We define CAD pricing, foreign customer invoices, branch stock and the accounting destination of each sale. English and French interfaces or documents are scoped where required.
Canadian and US collections need their original currency and bank settlement preserved. A refunded order should return the correct customer amount while retaining any processor fee or conversion difference.
Local records and connections
CRA provides a GST/HST registration verification service and guidance on supplier information. Keep the reviewed registration and tax mapping with customer and supplier records. Provincial and Quebec requirements need their own review for the business.
Identify the country edition of the accounting product and the bank accounts to connect. We test invoice numbering, tax codes, rounding and statement exports against the accountant approved examples.
A practical acceptance test
Create a CAD retail sale and a separate USD trade invoice. Receive a partial USD payment, issue a credit and compare the customer balances with the CAD ledger. Then reconcile the actual processor payout and fee.
| Requirement | Decision before development |
|---|---|
| Trading provinces | Locations and destinations included in tax review |
| Language | English, French or bilingual documents and operator screens |
| Currency | CAD functional records and agreed USD settlement workflow |
Working with DSDillon
The project is delivered remotely with a named business owner and accounting reviewer. Device installation and onsite support are agreed separately with the required local arrangements. We confirm the time zone, working language, handover format and support coverage in the proposal.
Bring a sample invoice, your current software names, device models, approximate record volumes and the problem to solve. We agree the workflow and local dependencies, build in a test environment and reconcile the opening position before launch.
Before you start
Can DSDillon take on a project for Canada?
Yes. We scope remote POS and accounting development for businesses in Canada. Local tax, payment, hardware and language requirements are confirmed before the build is agreed.
What does the first project review need?
Provide the legal entity, trading locations, currencies, current POS and accounts, payment providers and sample documents with personal information removed. Identify who will approve the accounting and local requirements.
This page describes development services in English. Local tax, payroll, payment, fiscal device and language requirements are included only within the agreed and tested project scope.
Build the complete workflow
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Tell us what needs to work.
Bring your trading workflow, current software and the problems you need to solve. We will define the build, connections and acceptance checks.
DSDillon Business Systems
POS, accounting and connected operations.

