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Our bookkeeping department prepares monthly, quarterly, and annual financial statements. Included with this service is a reconciliation of all cash accounts. For clients with financial requirements promulgated by a regulator, we include these calculations with each financial statement. Financial statements are reviewed by both a senior team member and the managing partner. We work with your bank and payroll provider to obtain your information directly. Any questions concerning the monthly financials are answered quickly via email or phone call.

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