Systems & pricing

A system for your industry. Pricing for your size.

There's no single "TayoLedgers plan" — because there's no single TayoLedgers. Each industry gets its own purpose-built system, and each has its own Starter, Growth and Business tiers. All of them are AI-native, with the API, MCP connectors and CLI included on every plan.

System 01 · Travel

Travel Accounting

Everything a travel agency's books need and a generic ledger never had — tickets, BSP, the GDS and commissions, reconciled automatically and queryable by your AI.

Ticket accountingFares, taxes & commission split per ticket
BSP reconciliationMatch sales to the billing file, line by line
GDS importAmadeus, Sabre & Galileo, no re-keying
CommissionsIATA & non-IATA in one report
Multi-currencySell, settle & report in any currency
Audit-ready reportsP&L, tax & commission in one click
System 02 · Cargo

Cargo Accounting

Freight forwarders and cargo agents work per consignment, not per invoice. This system costs, bills and reconciles every shipment from origin to settlement.

Airway billsMAWB / HAWB tracked to the ledger
Freight invoicingCharges, surcharges & duties itemised
Multi-leg shipmentsCost & margin across every leg
Carrier settlementReconcile what carriers actually billed
Consignment P&LTrue profit on every job, instantly
Agent & partner net-offInter-agent balances cleared cleanly
System 03 · Property

Property Accounting

For managers and landlords juggling units, tenants and owners. Rent rolls, leases, service charges and owner statements stay reconciled on a single ledger.

Rent rollsEvery unit's billing & arrears at a glance
Lease schedulesEscalations & renewals tracked automatically
Service chargesApportion & reconcile across tenants
Owner statementsNet-of-fees payouts, generated per period
Maintenance & expensesCosts tied to the unit that incurred them
Trust-ready ledgersClient monies kept clean & auditable
System 04 · POS & Retail

POS & Retail Accounting

Your tills already know what sold. This system turns every sale, shift and outlet into clean books — inventory, COGS and cash reconciled without a spreadsheet in sight.

Daily sales syncEvery till feed posted automatically
Inventory & COGSStock movements valued as they happen
Multi-outlet roll-upPer-store and group P&L side by side
Shift reconciliationCash, card & wallet matched per shift
Tax & receiptsVAT/GST handled at the line level
Supplier & purchasingRestock costs flow straight to margin
More coming

Your industry could be next

We build a new system when an industry's books are different enough to deserve one. These are on the roadmap — and your input shapes what ships first.

ManufacturingLogisticsHealthcareAgricultureProfessional servicesHospitalityConstruction
Request your industry