Transaction Categorization: Monthly sorting and labeling of business income and expenses.
Bank & Credit Card Reconciliation: Matching your records with financial statements to ensure accuracy.
Financial Statement Preparation: Delivering monthly Profit & Loss (P&L) and Balance Sheets.
Accounts Payable: Tracking and managing outstanding bills.
*Please note: Your final quote will be determined by your average monthly transaction count and the number of accounts requiring reconciliation. (A transaction is each line item on a bank or credit card statement.)