• Transaction categorization
• Bank and credit card reconciliation
• Month-end close
• Vendor and customer tracking
• Payroll entries
• Monthly financial statements
• Budget vs actuals
• Cash flow summaries
• Grant or program tracking
• Board-ready reporting for nonprofits
• Backlog cleanup
• New accounting system setup
• Chart of accounts design
• Process and policy documentation
• Historical corrections
• Fund and program accounting
• Restricted revenue tracking
• Grant budget alignment
• Donor and contribution reporting
• Audit preparation packages