Supports 400 monthly transactions
Reconciliation for up to 8 bank and credit card accounts
Monthly financial reports, including Profit & Loss, Balance Sheet, and Cash Flow Statement
Monthly loan reconciliations
Year-end financials organized for tax preparation
Quarterly review and consultation
Payroll for up to 25 employees
Accounts payable and accounts receivable support
Responsive email and phone support
Monthly books completed by the 15th
Supports 400 monthly transactions
Reconciliation for up to 8 bank and credit card accounts
Monthly financial reports, including Profit & Loss, Balance Sheet, and Cash Flow Statement
Monthly loan reconciliations
Year-end financials organized for tax preparation
Quarterly review and consultation
Payroll for up to 25 employees
Accounts payable and accounts receivable support
Responsive email and phone support
Monthly books completed by the 15th