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Business Bookkeeping
On Point Accounting & Tax will reconcile your business bank account on a monthly basis.
All reconciliation reports are provided to our clients and digitally archived, to ensure we have permanent records of our clients’ financial statements.
That way we can help you:
Identify missing deposits or lost checks. Provide direct financial oversight to prevent embezzlement. Ensure that you’re not paying unnecessary bank fees. Detect fraudulent activity on your account in a timely manner.
Have peace of mind, knowing that your books are accurate and up to date.
We can also provide you with comprehensive reporting, so you know exactly where you stand each month.Identify billing errors and overbilling before bills are paid and maximize cash flow while minimizing late fees and other charges.