What We Do:
We provide hourly, project-based accounting support, including:
- Balance Sheet Reconciliation
Analyzed GLs related to your balance sheet accounts — so you can clearly see which line items make up the totals. - 12-Month Income Statement
Clean, consistent formatting and data review to ensure your P&L tells the right story. - Bank Reconciliation (Historical & Current)
Whether you’re behind a few months or several years, we’ll help you catch up — fast. - Credit Card ReconciliationClean up messy credit card records.
- Deferral & Accrual Schedules
We’ll create clear, reliable schedules for prepaid expenses, accrued liabilities, and more. - Financial Package Review
Need a second set of eyes before sending off financial packages to stakeholders, lenders, or investors? We’ll review and clean up your reports. - General Ledger Review
Review for consistency, incorrect classification, and missing transactions. - Journal Entries for Property Acquisition and Disposition
- Purchase Acquisition & Opening Entries: Rent, prepaid expenses, security deposits, and more
- Disposition & Closing Entries: asset disposals.
We specialize in Multi-family for profit and low income housing (project section 202 & 811).