Priced on what you spend, not on seats.

Ledger
$149/mo.

One set of books, up to $25,000 a month going out. Coded as it lands, reconciled against the statement, and a P&L on a fixed date.

  • Up to $25,000 a month in expenses
  • Every transaction coded as it lands, with its reason
  • 3 accounts, reconciled against their statements
  • Receipts matched to the payment they belong to
  • A profit and loss and a balance sheet each month
  • Everyone in the business, at no cost per seat
CloseMost take this
$390/mo.

The rung this product is built around: accruals, prepayments and deferred revenue, the nine-step close, and a period that locks when it is done.

  • Everything in Ledger, plus:
  • Up to $150,000 a month in expenses
  • 10 accounts, on any feed you can connect
  • Accruals, prepayments, deferred revenue, depreciation
  • The nine-step close, eight steps done for you
  • The period locks, so April's number stays April's
  • 3 months of prior books cleaned up on the way in
Controller
$790/mo.

More than one entity, or more than half a million a month moving through them. Everything closes on the same calendar and consolidates.

  • Everything in Close, plus:
  • Up to $500,000 a month in expenses
  • Up to 3 entities, closed on one calendar
  • Consolidated statements across all of them
  • Accounts and feeds, uncapped
  • 12 months of catch-up, cleaned and closed
  • Departments and classes, split through the P&L

Above $500,000 a month, or more than three entities, the price is worked out with you. Tell us what you run.

Meinry is opening to a first group of businesses. Joining puts you on that list at these prices. There is nothing to pay today, and no card is asked for.

What you are buying

The band
Expenses a month
Ledger
Up to $25,000 a month
Close
Up to $150,000 a month
Controller
Up to $500,000 a month
Sets of books, kept separately
Ledger
1
Close
1
Controller
3
Connected bank, card and payment accounts
Ledger
3
Close
10
Controller
Uncapped
People in your business who can use it
Ledger
Everyone
Close
Everyone
Controller
Everyone
Prior books cleaned up on the way in
Ledger
Not included
Close
3 months
Controller
12 months

Coding what comes in

Every transaction coded as it lands, not batched at month end
On every plan
The reason kept beside the coding, not just the category
On every plan
What you did with the same vendor last time, applied
On every plan
Your corrections learned, so the same question is asked once
On every plan
An exception queue that is minutes of work, not pages
On every plan
It asks rather than guesses when the data cannot answer
On every plan
No accuracy figure quoted, because none has been measured yet
On every plan

Reconciliation and receipts

Against the statement
Every account against its own statement, continuously
On every plan
A payment entered twice from two feeds, collapsed
On every plan
A transfer between your own accounts, not counted as income
On every plan
A fee the feed dropped, put back
On every plan
A break stays open and named, never balanced away
On every plan
Documents
Receipts matched to the payment they belong to
On every plan
Forwarded, photographed, or emailed in by the vendor
On every plan
What matches nothing is held, not filed against the nearest amount
On every plan

The month end

Basis the books are kept on
Ledger
Cash
Close
Accrual
Controller
Accrual
The nine-step close, eight steps done for you
Ledger
Not included
Close
Included
Controller
Included
Accruals and prepayments
Ledger
Not included
Close
Included
Controller
Included
Deferred revenue, spread over what it buys
Ledger
Not included
Close
Included
Controller
Included
Depreciation
Ledger
Not included
Close
Included
Controller
Included
The period locks, so April's number is still April's in June
Ledger
Not included
Close
Included
Controller
Included
Several entities closed on one calendar
Ledger
Not included
Close
Not included
Controller
Included
Consolidated statements across all of them
Ledger
Not included
Close
Not included
Controller
Included
Departments and classes, split through the P&L
Ledger
Not included
Close
Not included
Controller
Included

What you get out, and paying

Statements
Profit and loss, issued on a fixed date
On every plan
Balance sheet
On every plan
Issued from a period that is closed and locked
Ledger
Not included
Close
Included
Controller
Included
Every ledger exportable as CSV, whenever you want it
On every plan
Your data is yours, and leaves with you if you go
On every plan
Connections
Bank and card feeds through a regulated aggregator
On every plan
Stripe payouts split back into revenue and fees
On every plan
Read-only access, so nothing here can move your money
On every plan
Paying
Monthly, cancel whenever
On every plan
What joining does today
Ledger
Holds this price
Close
Holds this price
Controller
Holds this price
Card asked for today
Ledger
Not included
Close
Not included
Controller
Not included