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Service overview
I offer a professional and structured service for the operational management and daily financial control of your business or venture.
This basic package is guaranteed to include:
- Recording of accounting entries (Daily and General Ledger): Precise organization and emptying of the basic accounting cycle of your daily operations.
- Cash flow control: Detailed tracking of money inflows and outflows to keep your petty cash and accounts clear.
- Bank Reconciliations: Exact balances between your internal records and bank statements, identifying checks in transit, debit/credit notes, and correcting errors in books.
This basic package is guaranteed to include:
- Recording of accounting entries (Daily and General Ledger): Precise organization and emptying of the basic accounting cycle of your daily operations.
- Cash flow control: Detailed tracking of money inflows and outflows to keep your petty cash and accounts clear.
- Bank Reconciliations: Exact balances between your internal records and bank statements, identifying checks in transit, debit/credit notes, and correcting errors in books.
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