As a small business owner you have more important things to do than to keep your own books. We know that it is difficult to find time to accurately manage your finances, but Denise can help with that by taking care of your books for you, so you can get back to the job of running your business and generating profits.
Bookkeeping (Monthly, Quarterly, or Annual):
We can handle all bookkeeping and accounting tasks from payroll to preparation of your financial statements. Including, but not limited to:
- Monthly Reports and Statementss
- Profit and Loss Statement
- Trial Balances
- Balance Sheet
- General Ledger Report
- Bank Reconciliation
- Payroll Reconciliation
Not sure what to do with this powerful software? We can help you set up your Quickbooks program, and we can also offer one-on-one training so you will be able to use if effectively to keep your finances on track.
Need an accounting and payroll expert to review your transactions, accounts and reports. A review ensures that you receive timely, relevant and reliable financial information. We will inform you of any corrections, adjustments or reclassifications necessary to ensure that the financial information you receive reflects the correct financial condition of your business. Reviews may be conducted at any time, however monthly reviews provide you with up-to-date information and feedback about your business.
Accounting system setup and support
Organization is critical when growing and maintaining any business. We can assist you with the implementation and setup of an accounting system while providing you with the technical expertise to help you to maintain that system. We can assist you with the following:
- Setting up your chart of accounts
- Creating invoicing templates and items that are customized for your business
- Trial Balances
- Training your staff on how to properly use the software
- Transitioning information from your old software to your new software
General Business Consulting
Dealing with complex business issues is not easy. As your company grows, so will the issues you and your management team will face. We will help break down the most complicated financial issues and turn them into management issues—so you can make sound decisions.
Cash flow budgeting and forecasting
Good cash management can improve a company's liquidity, reduce costs, and increase profitability. We can help you maintain optimal cash flow levels by tracking sources and uses, forecasting, and budgeting accordingly. To a business entity, cash flow is something that can make or break the business' ability to survive. We can help you analyze your spending, re-balance your budget an optimal cash flow to support your business' success. With our help and guidance, you will always be on top of your finances and ready for the future.