Services We Offer in Atlanta Metro Area and remotely
Improve Cash Flow
Evaluate existing AR, AP, and Inventory practices, and design, implement, and manage new steps to increase cash in, and delay cash out.
Prepare Financial Statements
Review balance sheet, revenue and expense accounts to insure accuracy.
Perform Month End Close process.
Prepare GAAP based Balance Sheet, Profit & Loss, and Cash Flow Statements.
Financial Performance Review
Help you to read your financial data and statements in the way that it tells a story, and gives you an understanding of the company's financial health and potential troubles.
Manage AR and AP functions
Either educate on the best practices how to manage Accounts Receivable and Payable functions or (if you want to be hands off Accounting operations) manage AR, AP, and Inventory functions. Help to improve processes and train staff for optimal results.
Budgets and Forecasts
Create an annual budget, perform monthly variance analysis of actual results vs budget, suggest corrective actions for variance items.
Quarterly or ad hoc forecasting for revenue, expenses, and profit.
Contact for free consultation!
Slice and dice your operational and financial data to prepare meaningful reports. Help to predict what the future hold by detecting trends and tracking KPIs.
Identify Key Performance Indicators (KPI) that tie operational performance to budget, determine KPIs optimal range, monitor KPIs on the monthly basis, research and report variations.