Transaction categorization – recording and organizing all income and expenses
Bank & credit card reconciliations – making sure your books match your statements
Monthly financial reports – Profit & Loss, Balance Sheet, and Cash Flow with options to tailor these reports to meet your business’ specific needs
Basic journal entries – adjustments for depreciation, payroll, or any use of accounts outside of your business accounts.
Transaction categorization – recording and organizing all income and expenses
Bank & credit card reconciliations – making sure your books match your statements
Monthly financial reports – Profit & Loss, Balance Sheet, and Cash Flow with options to tailor these reports to meet your business’ specific needs
Basic journal entries – adjustments for depreciation, payroll, or any use of accounts outside of your business accounts.