Accounting
Accounting & Bookkeeping
-
General ledger maintenance
-
Monthly, quarterly, and annual financial statement preparation
-
Bank reconciliation
Cash Flow Management
-
Monitoring and analyzing cash inflows and outflows
-
Forecasting future cash needs
-
Advising on cash conservation strategies
Fixed Assets Management
-
Recording and tracking fixed assets
-
Calculating and recording depreciation
-
Asset disposal and impairment analysis
Chart of Accounts Setup and Maintenance
-
Designing a tailored chart of accounts for the business
-
Regularly reviewing and updating as necessary
Financial Analysis and Reporting
-
Ratio analysis (liquidity, profitability, solvency, etc.)
-
Trend analysis
-
Customized financial reports for management decision-making