- Bank Reconciliations
- Accounts Payable –W-9’s, paying bills, managing vendors
- Expense Reports
- Accounts Receivable- invoicing customers, statements, collections
- Generate Income Statements, Balance Sheet, Cashflow Statements
- Payroll Processing , Quarterly & Annual payroll tax reporting
- Employee Recordkeeping
- Sales Tax preparation
- Business Property Tax preparation
- Journal Entries, Month End close, Year End Adjusting entries
- Balance Sheet/General Ledger reconciliations