WebGo Bookkeeper Operating Center
Private System • Self-Service Financial Platform

Centro de Operaciones Bookkeeper

Un solo centro completo basado en el plan más alto. Cada cliente activa o bloquea módulos según su paquete. El cliente sube y reporta su información; Sofía organiza, WebGo revisa, analiza, alerta y reporta.

Accesos rápidos del centro

Plan + Access Control

1 • Modelo de trabajo

Self-service + Sofía + revisión WebGo

Toca cualquier cuadro para ir directo a su área de trabajo.

1. Cliente carga

Banco, recibos, facturas, payroll, sales tax, cash reports, comentarios o voz rápida.

Base self-service
Abrir Intake / Upload

2. Sofía distribuye

Lee, detecta vendor/fecha/monto/categoría, busca match y envía al módulo correcto.

Revisión antes de postear
Abrir Sofía Dispatcher

3. WebGo revisa

Analiza, alerta, pregunta al cliente, prepara reportes y cierre según paquete.

Capa de valor WebGo
Abrir Health / Alerts

4. Assisted add-on

Manual entry by WebGo staff is separate unless the plan/add-on includes it.

Setup • monthly • cleanup
Abrir Add-on / Plans
Regla comercial: el paquete normal es self-service. WebGo revisa y analiza; si WebGo tiene que entrar información manualmente, se cobra como setup, cleanup, add-on mensual o plan alto.
1B • Company / Branch Selector

Company Main + Branch Clouds

Company Main is the legal/tax house. Branch Clouds collect local branch activity only: local inflows, outflows, POS/registers, bank/deposit sources, evidence and corrections. At month-end each Branch Cloud sends clean totals back to the Main Ledger for bookkeeping and the consolidated tax-ready package.

Company Main

Simple rule: choose Main for company totals, or choose a Branch Cloud for local entries/exits. This selector does not create another company or another tax file.
Main receives monthly totals from every branch cloud.

Reusable Branch Cloud Template

Inside each branch cloudAddress/location, manager, POS/registers, bank/deposit source, local inflows, local outflows, Daily Shift Balance, evidence and corrections.
Back to MainAt month-end, each branch sends clean totals to the Company Main Ledger. Taxes use consolidated company totals unless the branch is a separate legal entity.
Flow: Branch activity → Branch Daily Shift Balance → Monthly Branch Summary → Send Totals to Company Main → Bookkeeper Ledger → CPA / Tax-ready package.
Other / Custom: if a branch, department, bank source, register source, or report type is missing, add a note inside the selected Branch Cloud and WebGo can attach it step by step without changing the Main.

Current Branch View

One Company MainReusable Branch CloudBranch totals → Main LedgerDetail stays inside cloud
Important: do not duplicate the whole index for every branch. Company Main keeps People Cloud, payroll, contractors, archive, ledger and tax-ready totals. Branch Clouds keep the local details, then only summary totals move to Main.
2 • WebGo Scan & Upload Center

Un solo botón: Mando a Sofía

Esta sección debe ser simple para el cliente: toma foto, sube archivo o arrastra documentos, agrega un comentario si hace falta y presiona Mando a Sofía. No necesita escoger destino; Sofía detecta y envía a revisión.

1. Regla simple

El cliente solo alimenta el sistema. La clasificación ocurre detrás del botón.

No destination neededReview before post

2. Foto / archivo

Drop files here

Receipts, statements, PDFs, CSV/Excel, cash proof, invoices.

3. Datos rápidos

4. Mando final

Selected document preview appears here.

Demo carga 3 archivos de ejemplo. Limpiar borra la cola.
Ready. Add photo/file and press Mando a Sofía.

Scan Queue → Sofía Auto-Dispatcher

Cada archivo queda en cola. Al presionar Mando a Sofía, el prototipo crea registros de intake y los manda al dispatcher/review.

3 • Mobile QR Receipt Capture

QR al teléfono: foto, mando y Sofía distribuye

Generate private QR

Desde la computadora se genera un QR privado para ese cliente/compañía. El teléfono abre una captura móvil sencilla: tomar foto y presionar Mando a Sofía.

No QR generated yet.

QR Preview

Generate QR to create a private mobile capture session.

Client tokenCompany lockedReview inboxNot final posting

Phone Capture

Esto representa lo que ve el cliente en el teléfono después de escanear el QR.

Mobile capture ready.

Mobile Upload Queue

4 • POS/App Daily Collector

Register / sales app → Daily Shift Balance → Sofía distribution

1. Optional Register Network

Register setup is optional. WebGo does not force the client to replace the register. The client adds the register ID, serial number, or internal inventory number if available; WebGo creates the network line and organizes activity by terminal, branch, day, week, and month.

Select a POS/register system to see the connection path.
Plan 2: 1 registerPlan 3: 2 registersPlan 4: up to 5Plan 5: up to 10Plan 6: multi-store/custom
Select POS
Create Line
Daily pull
Raw Folder
Sofía
Bookkeeper/Tax
No register line yet.Optional setup: create a line only when the client wants register-level control.
Ready. Optional register setup can be created now, or the client can start with daily uploads/manual close.

2. Daily Raw Excel Folder

This folder preserves what the machine/app collected, even if it is raw. It is the original daily record: sales, tax, cash, card, refunds, fees, products and terminal activity.

No daily folder created yet.

When created: /bookkeeper/client/store/date/POS_RAW_DAILY.xlsx

Gross Sales$0.00
Cash$0.00
Card$0.00
Tax$0.00

3. Sofía Legal Distribution

Sofía takes the raw daily folder and distributes it so the system keeps legal support and dollar-by-dollar detail.

Waiting for daily folder.

Once sent, Sofía routes to Retail, Sales Tax, Cash Control, Bank Match, Inventory/COGS and alerts.

4. Daily Shift Balance / Folder Cloud

The screen shows summaries. The cloud folder keeps unlimited detail. Each daily, weekly or monthly folder opens its own internal vertical scroll without making the page longer.

No POS rows yet.
No folders yet.

Load POS demo or upload a POS report to create Daily Shift Balance folders.

Fixed rule: Raw activity → Daily Shift Balance → Sofía Distribution → Bookkeeper Ledger → CPA/Tax-ready records. Details stay inside the folder with internal vertical scroll.
5 • Client Upload & Intake Room

Intake doors: each document goes to the correct review area

Intake Doors

Bank

CSV, Excel, PDF statement or future bank connection.

Receipts

Photos, PDFs, receipts and cash proof.

Reports

Payroll, POS, merchant, sales tax and AR/AP reports.

Voice

Quick entry for cash, fuel, tolls and small purchases.

Nothing posts directly to the final ledger. Every item goes through staging, review or approval first.

Upload / Document Intake

Intake Queue

Select an intake card to view its suggested route, review status and posting action.
6 • Sofía Auto-Dispatcher / Staging Review

Read, classify, route, and match Daily Activity

Professional rule

Sofía can organize automatically, but the book is protected: every item goes first to Staging / Review. WebGo or the client approves before final posting.

High confidenceMedium reviewNeed client answer
Daily match rule: every dispatched item must connect to a daily folder, daily balance area, ledger impact, and review status.

Dispatcher Results

SourceDetectedDestinationAmountConfidenceStatusAction

Daily Activity Breakdown / Balance Match

This is the control bridge: Intake → Sofía staging → Daily Shift Balance → Bookkeeper Ledger → Tax-ready records. The dispatcher does not replace the daily balance; it proves where each item goes before posting.

Daily FolderSource ItemDaily Balance AreaLedger ImpactMatch / Evidence CheckReview StatusOpen
Fixed rule: nothing moves to the final ledger until it matches the daily activity breakdown or is marked as a reviewed exception.
7 • Bank Import Center

Automatic Bank Import: statement copy, breakdown and accounting distribution

Monthly Bank Statement Vault

The bank statement is the official source copy. WebGo keeps the monthly statement copy, then creates a clean accounting distribution layer from it.

Original copy preservedMonthly folderNot manually erased
No statement copy saved yet. Upload or load demo, then save the monthly copy.

Bank / Card Import Staging

Paste CSV lines or import a bank/card file. Sofía creates staging rows first; final posting happens only after review, matching and approval.

DateDescriptionAmountDetected EntityCategoryMatchStatus

Statement Archive

PeriodAccountCopyStatus

Statement Category Breakdown

CategoryInOutRoute

Accounting Distribution

Rule: original bank statement stays in the monthly vault. Accounting rows are the distribution layer for Bookkeeper Ledger and Tax-ready records.
8 • Records Archive Cloud

Year / Month / Daily folders for long-term proof

Archive rule

The main screen only shows summaries. Details are stored inside year, month and daily cloud folders. Open the folder only when you need proof, review, correction notes or a tax-ready package.

Fixed rule: Main screen = summary. Folder cloud = detail. Archive search = find any year, month, day, bank statement, POS folder, payroll record, receipt, correction or evidence.
7-year defaultMonthly foldersOriginal copies preserved

Archive Search

Folders found0
Inflows$0.00
Outflows$0.00
Net archive impact$0.00

Folder Cloud

No archive folders yet.

Load demo or create folders from bank, POS, payroll and tax-ready records.

Retention policy

WebGo default: keep business archive folders for 7 years unless the client chooses a longer policy. Tax packages, property/asset records, loan payoff support, employee/contractor history and unresolved corrections may be kept longer when needed.
RecordDefaultOpen
Monthly bank statements7 years
Daily Shift Balance folders7 years
Payroll / employment tax support7 years default
Time cards / schedules7 years default
Tax-ready yearly packageLong-term archive
Open corrections / disputesUntil resolved + archive

Click any retention record to open the related archive cloud without stretching the page.

Archive Ledger / Search Results

FolderPeriodTypeInOutStatusContentsAction
8 • Accounts, Credit Cards & Loans Control Center

La casa central: banco + tarjetas + préstamos + cuentas pendientes

Account Hub

Total Sources0
Credit Card Balances$0.00
Loan Balances$0.00
Next Due Alerts0
AccountTypePurposeOriginalBalancePaymentDueStatus

Loan Detail & Payment Schedule

Pasado: se trae por banco/statements. Futuro: se guarda como expected, no como gasto real hasta que el banco confirme el pago. Principal baja deuda; interés/fees sí van a gasto financiero.

Loan / LenderPayment DateTotal PaymentPrincipalInterestFeesNew BalanceRecord TypeStatus
9 • Government-Ready Record Layers

Two layers of the same record: Daily Operations + CPA/Tax-Ready

One source record feeds two views. Layer A shows daily business operations; Layer B organizes the same approved records for accountant/tax-ready review. This is not a second book with different numbers.

Layer A — Operational Daily Ledger

Daily view of how money came in and went out: bank, POS, cash, cards, loans, receipts, voice entries and QR uploads. This view answers business control questions.

Daily Shift BalanceLive LedgerCash flowRisk alerts

Layer B — CPA / Tax Ledger

Accountant/tax-ready view using the same records, organized by income, deductions, COGS, sales tax, loan interest/fees, payroll support and reconciliation.

Same recordIncomeDeductionsCOGSInterest / feesSales tax

Evidence Vault + Audit Trail

Every line must be able to open its proof: receipt, bank line, POS report, cash sheet, invoice, statement, comment, approval, reviewer and change date.

Proof attachedReview stateWho / whenMissing support

Record Flow / Control Rule

1. Source recordBank / POS / Cash / Payroll / Receipt

Original source stays preserved in its monthly/daily folder.

2. Daily operationsDaily Shift Balance

Daily inflow/outflow summary for business control.

3. CPA/tax viewTax-ready classification

Same approved records sorted for accounting and evidence.

4. CorrectionsNever erase original

Adjustments are linked to the original record with notes and proof.

Fixed rule: Same source record, two views. The operational daily ledger and CPA/tax ledger must always reconcile back to the same folder, same proof and same audit trail.

Government-Ready Checklist

Gross receiptsPOS, invoices, deposits, 1099s, cash register tapes
Purchases / expensesPayee, amount, date, proof of payment, business purpose
Bank / card proofStatements, EFT, canceled checks, credit card statements
ReconciliationBank ↔ card ↔ POS ↔ cash ↔ receipts
LoansPayment split: principal, interest, fees, balance
RetentionArchive folders preserve proof and corrections

CPA / Tax Ledger View

This is the tax-ready view of the same approved activity. It does not replace the daily ledger.

DateEntityTax CategoryAmountEvidenceReconciledStatusAction

Evidence / Audit Trail

Proof, reviewer and action history connected to each record.

RecordSupportSourceReviewerActionStatus
10 • Tax Reserve & Payment Reminder Center

Balance diario de taxes: alerta, reserva y prueba de pago

Lo que hace WebGo

WebGo no mueve dinero ni paga al gobierno por el cliente. El sistema calcula una posición estimada diaria, muestra cuánto debe reservarse, manda alarmas y guarda evidencia cuando el cliente confirma el pago.

EstimatedClient approvedProof uploadNo direct payment by WebGo
Ready. This center is for estimated position and reminders only.

Daily Government Payment Watch

Estimated Tax Position$0.00
Suggested Reserve Shortage$0.00
Payroll Tax Watch$0.00
Next Reminder
Client responsibility: El cliente hace el pago oficial y sube la confirmación. WebGo mantiene el recordatorio, el cálculo estimado y la evidencia.

Reserve Ledger

AreaBasisEstimated DueReservedShort / OverNext DueStatus

Payment Proof / Reminder Log

DateTypePeriodAmountProofConfirmationStatus
10B • Tax Deduction & Asset Review Center

Standard expenses first. Other only when needed.

This center organizes potential tax-ready support. It does not give final tax advice or file taxes. Every category must connect back to source records, evidence, review notes and the Records Archive.

Standard Business Expenses

Use normal categories first so Sofía can route bank lines, receipts, POS activity and payments into a clean CPA/tax-ready view.

Rule: standard categories first, evidence always, review before final tax-ready posting.

Other / Custom Expense

If a transaction does not fit a standard category, the client can add it here with a business purpose and proof.

Ready. Custom items must explain purpose and evidence.

Assets / Vehicle / Rent Review

Large purchases and special items must not be forced into regular expenses. They should open their own review folder.

Assets / EquipmentVehicle, equipment, POS machine, tools

Asset cloud, purchase proof, financing and review status.

Vehicle / MileageMileage, fuel, repairs, insurance

Business use and support folder.

Rent / LeaseLocation, equipment lease, warehouse

Lease folder, proof of payment and period support.

Deduction Staging / Review Queue

DateSourceCategoryAmountEvidenceReview noteRouteStatusAction
Tax-ready rule: WebGo organizes support. Final treatment depends on the client, entity type, evidence, tax year and authorized tax professional/self-filing review.
11 • People Cloud Command Center V19

Índice compacto: 4 personas por cuadro + carrusel + búsqueda

Juan, esta versión evita llenar la pantalla con tarjetas grandes. La clasificación se escribe una sola vez por grupo: W‑2 Employees y 1099 Contractors. Cada cuadro muestra hasta cuatro personas; al tocar un nombre se abre la nube completa con hoja de vida, payroll/time card, W‑2 o W‑9/1099, evidencia, print y export.

People Cloud Summary

Total People0Employees + contractors
W‑2 Employees0Payroll / W‑2 watch
1099 Contractors0W‑9 / 1099‑NEC watch
Year-End Ready0Review before delivery
Regla V19: el frente solo enseña nombres compactos. El detalle vive dentro de la nube individual de cada persona.

Search / Filtrar

Entrada compacta4 personas por cuadro
Búsqueda rápidaPepito sale al frente
Grupo únicoW‑2 / 1099 escrito una vez
Nube individualTodo el detalle adentro

Compact People Carousel

Internal Folder Map

PersonClassificationMain cloud filePayroll / payment folderYear-end folderDelivery / action
No people loaded yet.
El W‑9 es intake interno del contractor; el 1099‑NEC draft se va actualizando con cada pago. El W‑2 se prepara desde payroll/time card/withholding staging. Nada se presenta oficialmente desde esta pantalla sin revisión.
11 • Payroll Employee Cloud Files + QR TimeCard App + Benefits Premium Module

Payroll + 401(k): summary on Main, full detail inside controlled clouds

Main Rule

The main dashboard shows only totals, health, deadlines and tax-ready status. Detailed payroll records, deposits, corrections, provider reports and evidence stay inside Payroll Cloud and 401(k) Cloud.

Premium / add-onMain = summaryPayroll Cloud401(k) Cloud
Ready. Payroll is monitoring/control, not payroll processing or official filing.

Main Payroll Summary

Payroll HealthSetup
Current Pay Period
Gross Payroll$0.00
Net Pay$0.00
Employee 401(k)$0.00
Employer Match$0.00
Employer Tax Cost$0.00
Proof Alerts0
Default mode: Automatic with ReviewEvery item can be corrected without erasing the originalPayroll taxes and 401(k) deposits require proof
Hourly payroll comes from approved time cards. Salary uses the pay period setup. Contractors stay in 1099 tracking, not W‑2 payroll withholding.

Add Person / Payroll Profile

Producción real: las retenciones federales se calculan con la información W‑4 y los métodos oficiales de withholding. Esta plantilla muestra control, clasificación, alertas y staging.

Employee / Contractor Profile Vault + Mobile Onboarding

Cada persona tiene su hoja de vida interna. El trabajador puede llenar la información desde el celular con un QR privado; WebGo/manager revisa antes de activar payroll o 1099 readiness. Datos sensibles como SSN/TIN se muestran enmascarados y en producción deben guardarse cifrados en servidor seguro.

No onboarding QR generated yet.
W‑2 employees use W‑4/I‑9/payroll records; 1099 contractors use W‑9 and 1099‑NEC readiness. The profile vault supports the year-end folder but does not file forms by itself.

Employee Cloud File Index

Para simplificar cuando haya 3 o 1,000 personas: cada empleado o contractor aparece como una ficha. Al tocar el nombre se abre su nube individual con hoja de vida, documentos, time card, payroll, 401(k), beneficios, W‑2/1099 readiness, print y export.

En producción, datos sensibles como SSN completo, bank account y documentos deben guardarse cifrados en servidor seguro. La pantalla solo muestra datos enmascarados y estados de revisión.

Contractor / W‑9 / TIN Vault

Para subcontratistas 1099: el negocio normalmente paga el total acordado; el sistema guarda W‑9 status, TIN/SSN último 4, dirección, pagos acumulados, prueba de pago y alerta de 1099‑NEC. No se mezcla con payroll W‑2 ni con retenciones de empleado.

Producción: guardar W‑9 PDF y TIN/SSN completo solo en servidor cifrado/seguro. En esta plantilla se muestra únicamente el último 4 y el estado de revisión.
Contractors0
Over 1099 Watch0Threshold/rules vary by payment/form; review before filing.
Missing W‑90
Ready / Review0
ContractorBusiness / Tax classW‑9 / TINYTD paidPayment source1099‑NEC watchBackup withholdingAction

1099‑NEC Draft Builder + Recipient Delivery Center

La idea: no esperar a enero. Cada pago al subcontratista actualiza su récord diario; al final del año el sistema ya tiene el draft del 1099‑NEC, dirección, email, W‑9/TIN status y prueba de entrega. WebGo prepara el paquete; el cliente/payer sigue siendo responsable de revisar, aprobar y filing/distribución oficial.

Regla correcta: el W‑9 lo llena/certifica el contractor y se guarda en el expediente; el 1099‑NEC se construye desde los pagos acumulados. En producción, TIN completo y PDFs deben estar cifrados en servidor. Esta vista usa TIN enmascarado y staging.
Draft forms0
Total NEC tracked$0.00
Need W‑9/TIN0
Delivery ready0
ContractorTax profileEmail / mailingTINNEC amountBackup withholdingIRS / IRIS statusRecipient deliveryAction
DateContractorAmountMethodWork / projectProofNote

Profile Carousel / HR File Vault

Time Card / Hours Collection Center

La regla: no se calcula payroll hourly final sin time card u horas aprobadas. Salary puede pasar por periodo salarial; 1099 se controla como contractor/invoice tracking y normalmente usa W‑9 + 1099‑NEC readiness, no W‑4.

Employee QR TimeCard App

La idea es simple: el empleado escanea su QR privado, ve su turno, poncha entrada/salida desde el teléfono y el manager aprueba antes de pasar horas al payroll. WebGo guarda el récord para cálculo y revisión.

No TimeCard QR generated yet.

Generate QR to open the employee time clock app.

Employee tokenSchedule visibleManager approvalPayroll staging only

Employee TimeClock

Pantalla que ve el empleado después de escanear el QR.

EmployeeMaría GómezShift09:00 → 17:30BranchStore 1 / Front CounterStatusReady to punch in
Phone time clock ready.
EmployeeActionDate / TimeBranch / JobTokenStatus
Producción real: el QR abre una app/PWA móvil con login/token. El empleado poncha, el manager aprueba, y solo las horas aprobadas pasan al Payroll Employee Carousel.

Time Card Carousel / Approval Queue

PersonPeriodRegularOTPay HoursSourceApprovalNote

Employee / Contractor Carousel

Payroll Runs

Run DateSourceGrossNet PayEmployee TaxesEmployer TaxesStatus

401(k) / Benefits Ledger

EmployeeEmployee 401(k)Employer MatchProviderProofStatus

W‑2 / 1099 / Payroll Forms Readiness

Form / AreaWhoBasisDeadline / ReminderEvidence NeededStatus
WebGo prepara el folder y los totales. El cliente o su payroll provider/authorized filer emite y presenta las formas oficiales.
12 • QuickBooks Bridge / Future Connection

Conectar QuickBooks sin romper el flujo WebGo

Connection Status

Not connected. V4 shows the architecture and staging flow. Real connection requires secure backend OAuth, token storage and Intuit app setup.

Correct QuickBooks Flow

OAuth consent

Client authorizes WebGo app to access their QuickBooks company.

Read / Pull

Customers, vendors, accounts, invoices, bills, purchases, payments.

Stage / Review

Sofía compares QuickBooks with bank, receipts and cash records.

Push only approved

WebGo should not overwrite books blindly. Approved adjustments only.

Backend endpoints needed

For real production we need server-side routes, not only HTML:

/api/qb/auth/api/qb/callback/api/qb/sync/api/qb/webhooksecure tokensrealmId
QuickBooks is a bridge. WebGo remains the operating dashboard: scan, bank, cash, review, alerts and breakdowns.

QuickBooks Staging Table

QB EntityDateName / VendorAmountCategory / AccountWebGo DestinationStatus
14 • Cash Control Center

Control de efectivo: lo que no aparece directo en el banco

Cash Entry

Daily Cash Sheet

DateTypePersonVendor/ClientAmountProofDeposit MatchStatus
15 • Sofía Quick Voice Entry

Entrada rápida por voz o texto cuando el scanner no es lo más rápido

Dictado / Texto

Ejemplo: “Me gasté 152 dólares con 23 centavos en Home Depot, materiales, tarjeta.” O: “20 dólares con 5 centavos en gasolina, efectivo.”

Ready.

Voice Pending Support

16 • Plan Access Rules

Un sistema completo, módulos abiertos según paquete

17 • Balance Chip + Health Alerts

Daily Financial Control Center

The bars show operational health. The Balance Chip shows real daily totals: how money came in, how money went out, what is reserved, what is pending, and when the numbers are ready to move into the tax-ready layer.

Health Bars

Sofía Daily Review

Sofía ready to analyze.

Company Total Breakdown

Balance Chip • Money In / Money Out

This is the owner view: total money in, total money out, protected reserves, pending liabilities and net operational position. It is not the final tax return; it is the daily operational truth that feeds Bookkeeper and Tax-ready records.

Payroll + Government Tax Breakdown

Period rule: this panel shows the current payroll working period / current month watch. Year-end or full-year taxes must use the YTD / Tax-ready Bridge after payroll history is imported or reviewed.

Sofía 30 / 60 / 90 Day Forecast

Forecast is an operational estimate based on current records. Final decisions remain with the owner, CPA or authorized reviewer.

Tax-ready Bridge • Income → Expenses → Obligations → Net

Tax view: first show everything earned, then operating expenses, payroll, tax/reserve obligations and the estimated net position. This is review support for CPA / authorized filer, not the final tax return.

18 • Reports + Tax Ready Folder

Reportes, preguntas al cliente y carpeta de impuestos

Monthly Client Report

Ingresos, gastos, cash flow, documentos faltantes, riesgos, acciones y próximos pasos.

Open report →
Questions for Client

Preguntas creadas por Sofía para aclarar gastos, cash, vendors, receipts y categorías.

Open inbox →
Year-End Tax Ready Folder

P&L, balance, receipts, payroll, 1099, sales tax, loans, owner notes y soporte.

Open folder →

Details

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