
Feather Lite
Best For
Side-hustlers & solopreneurs who just need clean books for tax time
What’s Included
- Categorize all income & expenses
- Reconcile bank & credit-card accounts
- Simple month-end close
- Tax-ready P&L + Balance Sheet (cash-basis)
Starting at: $300/mo
Steady Wing
Best For
Growing businesses that want full visibility, not just compliance
What’s Included
- Categorize all income & expenses
- Reconcile bank & credit-card accounts
- Simple month-end close
- Tax-ready P&L + Balance Sheet (cash-basis)
- Accrual or cash reporting
- Accounts Payable & Accounts Receivable tracking (summary level)
Starting at: $600/mo


Growth Flight
Best For
Teams with steady invoicing & vendor volume who need tighter cash control
What’s Included
- Categorize all income & expenses
- Reconcile bank & credit-card accounts
- Simple month-end close
- Tax-ready P&L + Balance Sheet (cash-basis)
- Accrual or cash reporting
- Accounts Payable & Accounts Receivable tracking
- Full A/P entry & scheduled bill-pay file
- Customer invoicing & payment posting
- Payroll journal entry & reconciliation
Starting at: $900/mo
Full Feather
Best For
Multi-owner or multi-location firms that want “hands-off” back-office finance
What’s Included
- Categorize all income & expenses
- Reconcile bank & credit-card accounts
- Simple month-end close
- Tax-ready P&L + Balance Sheet (cash-basis)
- Accrual or cash reporting
- Accounts Payable & Accounts Receivable tracking
- Customer invoicing & payment posting
- Payroll journal entry & reconciliation
- End-to-end A/R management (invoice creation, reminders, collections tracking)
- End-to-end A/P management (bill entry, approval workflow, payment execution via bill-pay platform)**
- Custom class/location tracking
Starting at: $1200/Mo


Feather Reset — Clean-Up & Catch-Up
Best For
Books that are months (or years) behind, switching bookkeepers, prepping for tax/financing, or inherited messy files.
What’s Included
- Backfill & categorize historical transactions
- Reconcile bank/credit-card accounts to statements
- Fix opening balances, undeposited funds, and feed mismatches
- Clean chart of accounts; tidy vendors/customers; merge duplicates
- Reclassify miscoded entries; remove duplicates
- Record payroll summaries, loans, asset purchases, and adjustments as needed
- Deliver tax-ready P&L & Balance Sheet + reconciliation reports