If you’re too busy with work to effectively handle your finances our team is here to help. As a small business owner you have more important things to do than to keep your own books. Our professional team will take care of your books for you, so you can get back to the job of running your business and generating profits.
Whether it’s each month or quarter our trained professionals will do the following things for you...
Reconcile your bank account
Day to Day Transactions
Generate an income statement
Generate a balance sheet
Clean up your general ledger
Provide unlimited consultations
These tasks form the solid foundation of your small business accounting system. You can customize the package of services you receive from us by adding payroll, tax planning, tax preparation, or any of our other services.
Bank Reconciliation
Reconciling your business checking account each month allows us to keep your bank account, accounting, and taxes up-to-date.
Having us reconcile your account each month allows you to...
Day to Day Transactions
It’s easy to forget to pay a bill or invoice a customer on a job you did. Our services can help you with these day to day transactions by:
We offer onsite training and services and if needed, we can take the actual file and handle your bookkeeping transactions from our location.
Income Statement
An income statement, otherwise known as a profit and loss statement, basically adds an itemized list of all your revenues and subtracts an itemized list of all your expenses to come up with a profit or loss for the period.
An income statement allows you to...
Balance Sheet
A balance sheet gives you a snapshot of your business' financial condition at a specific moment in time.
A balance sheet helps you...
Maintaining a Clean General Ledger
The general ledger is the core of your company's financial records. These records constitute the central "books" of your system. Since every transaction flows through the general ledger, a problem with your general ledger throws off all your books. Having us review your general ledger system each month allows us to hunt down any discrepancies such as double billings or any unrecorded payments.