- Accounting and bookkeeping
- Bank Reconciliation
- Credit Card Account Reconciliation
- Accounts Payable – Bill Pay & Expense Tracking
- Accounts Receivable – Invoicing & Collection
- Maintain detailed general ledger
- Internal Control Implementation
- Operating Cost Analysis
- Assist with cash flow planning
- Financial Reporting & Analysis
- Fixed Asset Tracking & Depreciation
- Budgeting & Cash Flow Projections
- Reconcile all loan and lease accounts
- Year-end 1099′s
- Outsourced Bookkeeping
- Trust Account update and Reconciliation
- Incorporation
- CFO Services
- Bank Representation
- Special Projects