At Smith Bookkeeping Financial Services LLC, we work side-by-side with our clients and tailor our services to fit their specific needs. We combine personal attention and access with the highest levels of technical expertise and specialized knowledge. Timely communication and responsiveness are hallmarks of our client relationships. All of these attributes support our objective of helping you reach your financial goals.
We pursue excellence by staying on top of current developments and technologies. We stay abreast of industry issues and observe the marketplace to provide service and advice tailored to your specific needs and goals. We use our experience and resources to develop industry insights and specialized skills that allow us to bring maximum value to your projects. Together all of these factors allow us to deliver superior service and act as a trusted business adviser.
A detailed listing of the services we provide is set out below. Take a look at what we have to offer and how we can help you or your business.
We can manage all your accounting and bookkeeping needs, from data entry to financial reporting. Our accounting services accurately track your revenue and expenses, providing up-to-date accounting information giving you valuable insight into your business’s financial health.
Our accounting services can include everything from data entry to bank account & credit card reconciliation – we can even manage your bill pay & payroll. You can rely on timely and accurate accounting information and always know where your business stands.
Here is a listing of accounting services we can provide:
- Bank Account Reconciliation
- Tracking fixed asset acquisitions and disposals, including keeping depreciation up-to-date
- Accounts Receivable recording and report management
- Accounts Payable recording and report management
- Payroll processing, including periodic payroll processing as well as federal and state tax reporting
- Month End close general journal entries
We can also provide financial reporting packages, which can include some or all of the following depending on your needs:
- General Ledger report
- Income Statement
- Balance Sheet
- Cash Flows Statements
- Aging reports for both Account Receivables and Payables
- Reconciliation Reports
- Custom reports – specific to your needs