Service industry starter streamline
Monthly Bookkeeping Services:
Daily Transaction Management: We accurately record all financial transactions daily to ensure precision and transparency in financial records.
Expense and Income Categorization: We organize and categorize all expenses and income sources systematically, making financial tracking easier.
Bank Reconciliation: We ensure your financial records match the bank statements monthly, verifying accuracy and correcting any discrepancies.
Basic Financial Reporting:
Monthly Financial Statements: We provide comprehensive monthly financial statements, detailing income, expenses, and the balance sheet status.
Bank Transaction Summary: We prepare a summary of all bank transactions to facilitate your review and understanding of financial movements.
Client and Supplier Management:
Invoice Issuance and Tracking: We handle the preparation and follow-up on invoices with clients to ensure smooth and efficient operations.
No. of transactions from 0-100 transaction