DAILY BOOKKEEPING
Assurance of accurate and timely bookkeeping entries for payroll, accounts payable, accounts receivable, and deposits. Bank reconciliations will be done by the due dates specified by the client as well as preparation of financial statements. Appointments with the client will be scheduled in advance to do the required bookkeeping needs. All Bookkeeping work will be handled in a professional and confidential manner.
TAX SERVICES
I prepare the Form 990 for tax exempt organizations.
BANK RECONCILLATIONS
Routinely balancing current cash balance against bank statements.