Built for Ontario Brokerages

Grow your brokerage with confidence

The friendly, reliable platform to automate trust accounting, commission splits, and FINTRAC compliance — so you can focus on closing deals, not chasing paperwork.

No credit card required · Set up in under 2 minutes · Multi-tenant isolation

Built for Ontario brokerages that take compliance seriously

RECO Bylaw 28REBBA s.27FINTRAC RoFHST QuarterlyDouble-entry ledger

Everything a BoR needs, nothing they don't

Replace spreadsheets, manual trust reconciliation, and paper payout statements with one system that enforces correctness by design.

Trust accounting

Real-estate trust bank always equals client deposit liability — enforced by a database constraint on every write. Monthly reconciliation statements for RECO Bylaw 28.

Commission calculator

Fixed split, capped, tiered — any plan. Agent's gross, brokerage split, royalty, admin fees, E&O, desk fees, HST — all computed to the penny with full audit trail.

Deal lifecycle

From offer to close. Conditions, deposits, CTA, co-op pay, payout statements, agent payments — every step tracked with journal entries.

FINTRAC compliance

Receipt of Funds recorded on every deposit. Payer identity, source of funds, ID verification — built into the deposit flow, not an afterthought.

Analytics & reports

Dashboard with live charts. Agent scorecards, monthly P&L, HST quarterly return, pipeline risk alerts. CSV export everything for your accountant.

Multi-tenant & secure

Row-level security isolates each brokerage. TOTP 2FA for BoR accounts. Every action audit-logged. Role-based access for agents vs. admin.

Up and running in 3 steps

1

Register your brokerage

Enter your RECO number, legal name, and create your Broker of Record account. System chart of accounts provisioned automatically.

2

Invite your agents

Add agents with their RECO number and commission plan. They get their own login to view deals and payout statements.

3

Create your first deal

Enter the offer details and the system handles everything — trust entries, commission splits, CTA, payout statements, and compliance docs.

Simple pricing

Start free. Scale when you're ready.

Starter
$0/month
  • Up to 5 agents
  • Unlimited deals
  • Trust reconciliation
  • FINTRAC Receipt of Funds
  • Commission calculator
  • Email notifications
  • CSV exports
Start free
Enterprise
Custom
  • Multi-office support
  • Custom commission plans
  • SSO / SAML
  • Dedicated onboarding
  • SLA & uptime guarantee
  • API access
  • White-label option
Contact us

Compliance you can trust

RECO Bylaw 28

Monthly trust reconciliation statements with real-time balance verification. Trust bank always equals deposit liability — enforced by database constraint.

REBBA s.27

Complete trade record sheets generated from deal data. Every deposit, condition, amendment, and commission split documented and auditable.

FINTRAC

Receipt of Funds recorded on every deposit — payer identity, source of funds, ID verification method. Never scramble before a FINTRAC audit again.

CRA HST

Quarterly HST return with CRA line references (101, 108, 109). HST collected vs ITCs computed automatically from the ledger. Export for your accountant.

Stop using spreadsheets for trust accounting

Join Ontario brokerages that trust BrokerPath to keep their books clean and their compliance airtight.

Register your brokerage — free