50-150 transactions/month
Response time within 2 business days
Reports by the 10th business day of the month
Transaction matching
Monthly account reconciliation
Monthly financial statements (P&L, balance sheet, and statement of cash flows)
Supply tax preparer with necessary financial reports for tax filing
50-150 transactions/month
Response time within 2 business days
Reports by the 10th business day of the month
Transaction matching
Monthly account reconciliation
Monthly financial statements (P&L, balance sheet, and statement of cash flows)
Supply tax preparer with necessary financial reports for tax filing