Accounting Services

Bookkeeping

Financial Statements

Financial Analysis

Payroll services

Service Flow

  • Choose your service
  • Upload file
  • Make payment
  • We finish the job within the chosen time limit (24 hour rush or 3 business days regular)
  • We send email confirmation when job is done
  • Client downloads finished accounting files or makes electronic signature on tax returns

BOOKKEEPING

BANK RECONCILIATION

The Bank Reconciliation Report displays the cash balance shown on the company's books at a particular date and reconciles this balance with the amount shown by the company's bank statement.

JOURNAL ENTRY AND CHECK REGISTER

The Journal Entry and Check Register, displays by date, the company checks that were written during the month with the associated general ledger accounts they were charged to.

DETAIL GENERAL LEDGER

The Detail General Ledger Report displays, by general ledger account, all activity to the accounts over the current month.

If you want to choose our service, here are the two ways to do it:
Option 1 Visit our office at 20111 Stevens Creek Blvd Suite 270 Cupertino CA 95014 or call 408-490-4556 for more information.
Option 2 Register as a member, choose the service, and upload the files. We will do the rest for you. For pricing information, please refer to the Pricing page.