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Services
Financial Reports
Prepare Income Statement, Balance Sheet, Statement of Cash Flow and other financial reports.
Accounts Receivable
Customer bill creation, collection, recording and deposits.
Data Management
Accurate categorization of transactions, organization and proper data record keeping.
Accounts Payable
Vendor invoice posting and processing of payment.
Bank Reconciliation
Bank accounts, credit cards and loan transactions matching & reconciliation with books.
Payroll
Collection of employee information, calculation and disbursement of salaries.
Expense Tracking
Proper recording of all business expenses or assets.
Sales Tax
Process and ensure sales tax compliance based on state and location.
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