Our Services & Pricing

Comprehensive bookkeeping solutions tailored to your business needs

Choose Your Plan

Transparent pricing with no hidden fees

Starter Plan

We have our own free platform — if you prefer another software, its subscription cost is paid directly by your business.

$ 49 /month
  • All our bookkeeping services
  • Up to 600 transactions/month
  • Up to $50,000 in monthly expenses
  • Monthly financial reports
  • Email support
Select Plan

Enterprise Plan

We have our own free platform — if you prefer another software, its subscription cost is paid directly by your business.

Custom

Tailored to your needs

  • All our bookkeeping services
  • Unlimited transactions
  • Custom reporting schedule
  • 24/7 priority support
  • Multiple users
Contact Us

Complete Bookkeeping Services

Everything you need to keep your finances organized

Accounts Payable Management

We handle all your bill payments and vendor management. This includes recording all bills and invoices, scheduling payments to optimize cash flow, managing vendor relationships, tracking payment terms and discounts, ensuring timely payments to avoid late fees, and providing detailed AP aging reports. You'll always know exactly what you owe and when.

Accounts Receivable Management

Keep track of who owes you money and ensure timely collections. Our AR services include creating and sending professional invoices, tracking customer payments and outstanding balances, sending payment reminders, managing collection efforts, providing AR aging reports, and helping you establish credit policies. We help you get paid faster and improve cash flow.

Bank Reconciliation

We ensure your books match your bank statements perfectly. This critical service includes matching all bank transactions to your records, identifying and resolving discrepancies, catching errors or fraudulent transactions, ensuring accuracy of your financial data, and providing monthly reconciliation reports. Clean bank reconciliations are the foundation of accurate financial records.

Financial Reporting

Get clear, actionable insights into your business finances. We provide comprehensive reports including Profit & Loss statements, Balance Sheets, Cash Flow statements, custom reports tailored to your business. Understand your financial position at a glance and make informed business decisions.

Payroll Processing Support

Streamline your payroll operations with our expert assistance. We help with recording payroll transactions accurately, managing payroll tax liabilities, preparing payroll reports, ensuring compliance with labor laws, tracking employee benefits and deductions, and coordinating with your payroll provider. Keep your team paid accurately and on time.

Expense Tracking & Categorization

Every business expense is recorded and categorized properly. Our service includes capturing all business expenses, organizing expenses by category for tax purposes, tracking mileage and travel expenses, managing credit card transactions, identifying tax-deductible expenses, and providing detailed expense reports. Maximize your deductions and understand where your money goes.

Tax Preparation Support

We work alongside your tax professional to make tax time stress-free. This includes organizing all financial records for tax filing, providing detailed documentation of income and expenses, generating tax-ready reports, tracking quarterly estimated tax payments, maintaining depreciation schedules, and ensuring all transactions are properly categorized for tax purposes.

Credit Card Reconciliation

Keep your business credit cards reconciled and categorized. We match credit card statements to recorded transactions, categorize all purchases appropriately, identify personal vs. business expenses, track rewards and cashback, and provide monthly credit card reports. Stay on top of business spending across all cards.

General Ledger Maintenance

Your general ledger is the backbone of your accounting system. We maintain a complete record of all financial transactions, ensure proper double-entry bookkeeping, create and manage chart of accounts, post journal entries accurately, perform period-end closing procedures, and maintain audit trails for all transactions.

Month-End & Year-End Closing

Proper period closings ensure accurate financial reporting. We perform complete month-end close procedures, reconcile all accounts, make necessary adjusting entries, generate period-end reports, prepare for year-end tax filings, and maintain organized records for audits. Close your books with confidence.

Not Sure Which Plan Is Right?

Contact us for a free consultation and we'll help you choose the perfect plan

Get Free Consultation