We provide external financial management and administration services.

Book-Keeping: We provide you with detailed daily, weekly or monthly bookkeeping services. Such services will include maintaining the primary records (including payroll), a general ledger, payroll journals and bank reconciliations. They may also include cheque payments processing, invoicing services, and debtors and creditors maintenance.

Reporting: We prepare your monthly income statements and balance sheet. These reports will be tailor made for your business. They will include basic financial analyses to aid you in making business decisions. At the end of the financial year, we will prepare the annual balance sheet and accounts which you may then present to your auditor. We prepare accounts in accordance with the International Financial Reporting Standards.

Financial Forecast and Projections: We can work with you each year to develop a monthly budget for the upcoming year. Coupled with the financial reports we generate; these forecast will be your tools that tell you how your business did versus what you planned