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Your Controller
A Tech-Savvy Financial Statement Wizard
In today’s business landscape, the term “controller” is often thrown around loosely, often masking the need for true expertise. Distinguishing between a bookkeeper and a seasoned controller is crucial. We are not just using the buzzword – our controllers bring years of genuine experience and specialized training. If you are searching for a controller who goes beyond the label, look no further. Elevate your financial game with our seasoned professionals who bring a wealth of expertise to the table.
Tailor our services to fit your business’s unique requirements and budget. Outsourcing your accounting controller function goes beyond basic bookkeeping—it is about precision, customization, and financial insights that empower your business to thrive. Let us handle the financial details, so you can focus on driving your business forward.
Our Accounting Controller Services Include
- Timely Financial Precision: Deliver accurate financial statements tailored to your business.
- Timely Financial Insights: Real-time data for your informed decision-making.
- Monthly reporting that keeps up with your pace.
- Custom reconciliations that align with your unique operational needs.
- Streamlined Bookkeeping: Efficiently manage day-to-day transactions and data entry.
- Implement automated systems for a seamless and error-free process.
- Compliance Management: Ensure adherence to financial regulations and reporting standards.
- Proactively address compliance issues to avoid potential pitfalls.
- Detailed Financial Insights: Provide real-time visibility into your financial health.
- Monthly reports that capture the nuances of your business’s financial landscape.
- Cost-Effective Controller Expertise: Access the expertise of a seasoned controller without the full-time cost.
Our Outsourced Bookkeeping Services Include:
FNCH Consulting Technology Solutions Bundle:
All FNCH Consulting Outsourced Accounting Clients are provided with access to our turn-key Technology Solutions Bundle. This allows us to provide you with access to the software and technology solutions we will use to work together, so that you have access to your information at your convenience. As part of our implementation process, we will set up a Management Dashboard, a financial reporting data file and other software solutions for you, so that we will be able to jump right in to working with you and sharing information.
- Record Vendor Invoices in Bill.com®
- Assign Appropriate FNCH and Client Approvers for Each Invoice
- Reconcile Vendor Statements
- Record Vendor, Debit Card Transactions, PayPal & EFT Payments
- Record Purchase Orders (PO) Prepared by Client
- Process Manual Checks Issued as needed for emergencies.
- Record Sales Invoices
- Email/Mail Customer Invoices and Statements
- Record Customer Payments
- Track Customer Under or Over Payments
- Set Up Online Bill Payments as Vendor Payments are Approved by the Client in Bill.com
- Record Individual Credit Card Purchase Transactions
- Weekly Accounts Payable Aging Report
- Weekly Accounts Receivable Aging Report
- Weekly To Be Coded and Backup Needed Reports
- Process and/or Record Payroll
- Break Out Payroll/Payroll fees/ Payroll Taxes
- Prepare Bank Account Reconciliation(s)
- Prepare Credit Card Reconciliation(s)
- Reconcile Additional Balance Sheet Accounts
- Balance Sheet
- Profit and Loss Statement –Month
- Profit and Loss Statement –Year-to-Date
- Accounts Receivable Aging
- Accounts Payable Aging
- General Ledger
- Bank Reconciliation Report(s)
- Credit Card Reconciliation Report(s)
- 2 Custom Reports (the initial setup of these reports may require a separate agreement)
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