services
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Monthly Services
Transaction Recording – Track income and expenses accurately.
Bank & Credit Card Reconciliation – Ensure accounts match and errors are corrected.
Accounts Payable & Receivable – Monitor bills, invoices, and payments.
Payroll Recording – Keep employee compensation and taxes organized.
Financial Statements – Monthly Profit & Loss, Balance Sheet, and Cash Flow reports.
Tax Prep Support – Maintain records that are ready for filing.
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Books cleanup/Tax Prep
-Catching up on missed transaction entries
-Reconciling bank and credit card accounts
-Correcting errors or miscategorized expenses
-Organizing accounts to meet compliance standards
-Preparing accurate financial statements
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Custom Fit Bookkeeping
What are your needs?
Whether you just want monthly reconciliations, full accounts payable and receivable management, or tax‑ready reporting, you can pick and combine the services that matter most to you. I’ll handle the rest with accuracy and consistency, giving you clear financial records without unnecessary extras.
For this option the pricing will vary based upon your business needs.