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What we can do for you
When it comes to day to day financial management or quarterly tax preparation, we team up with
you to ensure that various processes are handled as if we are part of your regular staff.
Our team is available onsite to:
Process all financial transactions, such as vendor invoices / payments, payroll,
bank reconciliations, customer collections etc.
Prepare monthly financial statements and reports
Develop and implement financial controls and policies, to safeguard
company assets and facilitate company's compliance with GAAP
Establish banking and credit arrangements, including equipment lease lines
Analyze debt / equity financing arrangements
Cash flow and Cost control implementation
Financial projections and Budgeting
Board of Directors Meeting presentations
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