Companies who outsource their monthly bookkeeping services save both time and money. In addition, as a company, you can rest assured that you will receive the highest quality professional accounting & bookkeeping services available and you will gain the expertise you need to succeed financially. We will clean up your accounting books, create an organized accounting and numbering system, enter the data, reconcile your books, make adjustments and general entries as needed, check for accuracy, and provide you with monthly financial reports. We will then spend time with you as needed or on a monthly basis to go over your financial reports for further clarification.
By outsourcing the monthly bookkeeping services to Professional Accounting Solutions, you will be able to immediately cut down on overhead costs. You will quickly eliminate eroding expenses associated with hiring an employee to do the work in-house including employee matching taxes, benefits, insurance, workers comp, hiring and training costs, replacement costs, overtime pay, holiday pay, sick days, vacation time off, unproductive employee performance, additional office space, additional costs associated with purchasing more computers, desks, and phone equipment, travel reimbursement, ongoing daily interruptions, raises, bonuses, 401k plans, medical, dental, vision, and maturity costs. You get the point. We simply save you a lot of money. Save more money by outsourcing your bookkeeping services.
All of these costs can add up quickly and place a burden on the companies’ financial pocket book. By outsourcing the monthly bookkeeping services to Professional Accounting Solutions, a company can eliminate the stress associated with these costs and establish a flat monthly fee that is easy to budget for. You will receive affordable monthly bookkeeping services at a fraction of the costs. What are you waiting for? Contact us today and save more money every month. Below is a list of many of our services.
- Full Bookkeeping Services
- Accounts Payable & Bill Pay
- Accounts Receivables
- Bank Reconciliations
- Data Entry
- Entering Invoices
- Receiving Payments on Invoices
- Financial Analysis of Reports
- Remote Support Services
- Monthly Compilation
- Monthly Financial Reporting