We work with our clients to provide the service that fits their needs. We will build account structure and work with clients on reporting side. Making sure how often financial statements are needed. We provide an array of services that may be included in weekly, monthly, quarterly and annual retained services.
Account transaction entry – Daily, weekly, monthly with reconciliation to Bank statements.
Payroll adjusting entries – regardless of who is providing payroll services.
Accounts Payable entry and processing.
Accounts Receivable entry, processing and making AR.
Custom Package for period-end Financial Statements.