Our expert team consults our clients on their financial performance periodically.
Managing day to day bookkeeping for our clients so as to enable them to focus on their core business.
Reconcile the bank balance with the ledger balance periodically.
Vendor Management for our clients in terms of reconciling the vendor statements, suggesting payable as per pay cycle and issuing of payments.
Customer Management for our clients in terms of reconciling of customer statements and receivables.
Preparation & Filing of State and county taxes, Commercial Rent Tax, Tangible Property Tax and 1099's.
Based on the requirements from clients we also submit Budgets, Cashflow or any other ad hoc reports.