Accounting & Bookkeeping

Efficient Financial Management.

Outsourcing accounting controller and bookkeeping services presents multifaceted benefits for businesses. Primarily, it streamlines financial processes, ensuring accuracy and compliance through the expertise of dedicated professionals. This strategic delegation reduces operational costs, offering a cost-effective alternative to maintaining an in-house team. Moreover, outsourcing allows businesses to tap into a pool of specialized talent, enhancing the quality of financial management. With a focus on core competencies, organizations can achieve heightened efficiency and productivity. Additionally, outsourcing fosters scalability, enabling businesses to adapt seamlessly to fluctuating workloads while maintaining a consistent level of financial acumen and reliability.

Accountant reviewing bookkeeping records - Amarillo Bookkeeping

Asset Bridge Accounting Controller & Bookkeeping

Delivering cost-effective financial expertise, offering small to medium-sized businesses strategic insights, efficient management, and flexible scaling.

Controller Advisory/Oversight

Our Controller Advisory and Oversight services provide the financial expertise needed to streamline your business operations. By improving internal controls and financial reporting, we help you manage your resources more effectively. Whether you need regular reviews or occasional strategic guidance, our services are designed to support sound decision-making and long-term success.

Full Cycle Accounting

From start to finish, our Full Cycle Accounting services ensure every aspect of your financial process is handled with care and precision. We manage everything from daily transaction recording to preparing financial statements, giving you clear insights into your financial health. With our team handling the details, you can focus on growing your business confidently.

Ad Hoc Reporting

Need specific financial insights on demand? Our Ad Hoc Reporting services provide customized reports tailored to your unique questions and needs. These reports are perfect for analyzing trends, making strategic decisions, or responding to unexpected challenges. With timely and actionable data, we help you stay ahead in a dynamic market.

Bank Reconciliations

Keeping your financial records aligned with your bank statements is critical for maintaining accuracy and preventing errors. Our Bank Reconciliation services meticulously review your transactions to ensure everything matches. This process helps safeguard your finances and provides you with a clear understanding of your cash flow.

Financial Statement Reporting

Clear and accurate financial statements are essential for understanding your business’s performance. Our Financial Statement Reporting services deliver detailed income statements, balance sheets, and cash flow statements tailored to your needs. These reports provide valuable insights for decision-making, tax preparation, and planning for the future.

Month End Close

Closing out your financial records at the end of each month is a crucial part of staying organized. Our Month End Close services ensure all transactions are recorded, accounts reconciled, and statements prepared with accuracy. This regular process gives you confidence in your financial reporting and supports your business goals.

General Ledger Reconciliations

Maintaining accurate and organized financial records starts with a well-reconciled general ledger. Our General Ledger Reconciliation services carefully review and align your accounts to ensure all transactions are properly accounted for. By resolving discrepancies, we help you maintain compliance and prepare for any audits.

Weekly/Monthly Ownership Meetings

Stay informed about your financial performance with our Weekly and Monthly Ownership Meetings. During these sessions, we review key metrics, financial statements, and any trends or issues that require attention. These meetings provide a valuable opportunity to stay aligned on goals and make informed decisions for the future.

SMALL
SCALE

$250/mo

Businesses with fewer than 10 accounts & under 50 transactions/mo under a cash basis of accounting.

Basic bookkeeping and ledger maintenance
Monthly bank and credit card reconciliations
Preparation of standard financial reports (Profit & Loss and Blance Sheet).
Email support for accounting queries.
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MEDIUM
SCALE

$450/mo

Businesses with 10–25 accounts and 51–100 transactions/mo

Basic bookkeeping and ledger maintenance.
Monthly bank and credit card reconciliations.
Preparation of standard financial reports (Profit & Loss and Balance Sheet).
Email support for accounting queries.
Quarterly owners’ meetings including in-depth financial reviews and management recommendations.
Customizable reporting tailored to business needs.
Integration support for accounting software and tools.
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LARGE
SCALE

$750/mo

Businesses with 25+ accounts or 101-150 transactions per month.

Basic bookkeeping and ledger maintenance.
Monthly bank and credit card reconciliations.
Preparation of standard financial reports (Profit & Loss and Balance Sheet).
Email support for accounting queries.
Monthly owners’ meetings including in-depth financial reviews and management recommendations.
Customizable reporting tailored to business needs.
Integration support for accounting software and tools.
Full-service payroll processing and compliance support.
Monthly performance analysis and recommendations.
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FRACTIONAL CONTROLLER

$125/hr

For businesses seeking strategic financial leadership less the cost of a full-time accounting department.

Advanced bookkeeping and ledger maintenance.
Monthly bank and credit card reconciliations.
Preparation of standard financial reports (Profit & Loss and Balance Sheet).
Email support for accounting queries.
Monthly owners’ meetings including in-depth financial reviews and management recommendations.
Customizable reporting tailored to business needs.
Integration support for accounting software and tools.
Budget creation, management, and variance analysis.
Investor or board reporting preparation.
High-level oversight of AR, AP, and payroll processes.
Vendor and client invoicing management.
Monthly or quarterly financial strategy sessions.
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Hear from

our clients.

“Asset Bridge is absolutely true to their name.  Their ability to provide industry leading customer service, professionalism, and dependability is second-to-none.  Their dedication to customer satisfaction is a top priority for them, and it shows in the results they provide.  I have been able to improve efficiencies in other areas of my business knowing that I can trust Asset Bridge to handle all of my accounting needs.  If you are seeking assistance or guidance in your accounting/bookkeeping department I highly recommend you reach out to Asset Bridge today. “

Brookestone Construction

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