Ledger maintenance, monthly financial reports (P&L, Balance Sheets), accounts payable automation, and compliance auditing built to slash back-office overhead by up to 60%.
Keep your general ledger audit-ready, optimize accounts payable flows, and leverage fractional CFO reporting for strategic corporate growth.
Reconciling bank accounts, credit cards, and payment gateways (Stripe/PayPal). Streamlining billing cycles, invoice matching, vendor payments, and monthly collections.
Generating Profit & Loss (P&L) reports, Balance Sheets, Statement of Cash Flows, budget vs. actual analytics, and custom KPI tracking dashboards.
Year-end tax preparation packages, sales tax nexus tracking, state filing preparations, cash burn rate auditing, and fractional CFO advisory budgeting.
We provide experienced general accountants, tax preparers, and fractional CFO resources to small and medium enterprises. You gain access to reliable monthly cycles without hiring in-house.