Not open for general onboarding yet. Join the list and we'll reach out when we're bringing on new teams.

The operating system for the jobsite

Show your client where every dollar went.

Open-book job cost for cost-plus builders: too big for spreadsheets, too small for an enterprise rollout.

Onboarding new teams in small groups. Join the list and we'll reach out.

The whole idea

Three things happen.
That's the product.

01

Costs code themselves

An invoice or a photo of a receipt comes in and lands on the right job, in the right cost class, with the document still attached to it.

02

Compliance clears on the way

It gets approved by the right person, and the correct lien release goes out for signature, without anyone chasing it after the check has cleared.

03

Your client sees it

Costs roll into a billing with your fee applied the way the contract reads, and your client opens the backup from an emailed link.

Why this is hard on cost-plus

When you bill cost plus a fee, every dollar is a question your client is entitled to ask, and answering it is unpaid work. Four places it usually costs you:

  • "What's this $4,200?"

    Someone digs through email, a truck's camera roll and a folder of scans to reunite one line with its receipt.

  • The fee, by hand

    Markup and excluded costs get reapplied in a spreadsheet monthly. When the formula and the contract disagree, your client finds it first.

  • Paper chase

    Releases run late, certificates expire quietly, and the wrong one of four statutory forms gets signed more often than anyone admits.

  • Rebuilt monthly

    The client or lender package is reassembled from bills, budget lines, timesheets and receipts living in four places.

Early access

We'll come to you
when a slot opens.

Join the list and you'll get a reply from a person, then a walkthrough on one of your own bills when we're onboarding again. No drip sequence in between.