Back Office & Outsourced Accounting Services

Overview - Finance And Accounting Services

Taking into consideration the volatile dynamics of our global economic system, it has become a precondition for every business to consolidate its non-core financial services to ascertain a competitive edge. Today, CFAs and CPAs across the globe seek out accounting outsourcing firms that can assist them in reducing the company’s operating costs, increasing profits, and establishing benchmarks for superior governance and conformity to regulations. That is exactly why the majority of them outsource accounting services to a third party company. We, at QASGROUP, fully grasp this compelling requirement of businesses and provide an extensive range of accounting back-office services at competitive costs. We seek to serve you in the most efficient manner.

BOOKKEEPING SERVICES

  • Setting Up Chart of Accounts
  • Billing for products and services
  • Organized recording of receipts from customers
  • Verification and recording of invoices from suppliers
  • Paying suppliers
  • Processing employees’ pay and the related governmental reports
  • Recording depreciation
  • Month-end or year-end closing
  • Account Payable Service:
  • Handling of vendor inquiries
  • Invoice imaging and storing
  • Invoice approval
  • Budget allocation
  • Online payment method
  • Check to process

ACCOUNTS PAYABLE SERVICES

  • General ledger report
  • Balance sheet
  • Income statement
  • Cash flow statement
  • Bank reconciliation report
  • Account management

RECONCILIATION SERVICES

  • Our professionals will track monthly, weekly, or daily receivable needs and manage all accounts. From processing payments to cash deposits and cash collection, we will handle all your accounts receivable needs.
  • Accounts Payable and Disbursement Management:
  • From vendor payment to the application of invoices and payables management, we will handle all your accounts payable and disbursement needs.

FINANCIAL REPORTING SERVICES

  • General ledger report
  • Balance sheet
  • Income statement
  • Cash flow statement
  • Bank reconciliation report
  • Account management

PAYROLL PROCESSING

  • Payroll setup
  • Payday calculations and direct deposits
  • Payroll taxes calculation and form-filling
  • Quarterly state tax returns

BACK OFFICE ACCOUNTING SERVICES

General Ledger Management

Maintenance of an accurate and up to date general ledger is necessary for generating and preparing accurate and timely financial information. Our process includes a monthly reconciliation and review of key general ledger accounts as well as providing and implementing all recommended changes to ledger accounts.

Cash Reconciliations and Cash Management Functions:

Depending upon the need of the business, monthly, weekly or daily, our professionals will provide accurate reconciliations of cash and updated cash flow forecasts and analysis to ensure that your business is operating with appropriate levels of cash flow and cash needs.

Cash Reconciliations and Cash Management Functions:

Depending upon the need of the business, monthly, weekly or daily, our professionals will provide accurate reconciliations of cash and updated cash flow forecasts and analysis to ensure that your business is operating with appropriate levels of cash flow and cash needs.

Our professionals will track monthly, weekly or daily receivable needs and manage all accounts. From processing payments to cash deposits and cash collection, we will handle all your accounts receivable needs.

Our professionals will track monthly, weekly, or daily receivable needs and manage all accounts. From processing payments to cash deposits and cash collection, we will handle all your accounts receivable needs.

Accounts Payable and Disbursement Management:

From vendor payment to the application of invoices and payables management, we will handle all your accounts payable and disbursement needs.

Maintenance and accurate reflection of all fixed assets within your business is vital, not only for financial statement purposes but for tax purposes. Let our team of professionals manage depreciation expense and accumulated depreciation of your business assets for both financial statement and tax purposes

Financial Statements and Financial Performance Indicators:

Our team of professionals will provide a complete monthly financial package generated from your accounting system. This financial package will include balance sheet(s), income statement(s), and other performance-related management ratios and analysis. Our firm uses leading-edge technology for the dashboard and key performance indicator reporting to generate financial ratios and other business analysis to help you run and manage your business effectively.

Our team of professionals will provide a complete monthly financial package generated from your accounting system. This financial package will include balance sheet(s), income statement(s), and other performance-related management ratios and analysis. Our firm uses leading-edge technology for the dashboard and key performance indicator reporting to generate financial ratios and other business analysis to help you run and manage your business effectively.

General Ledger Management

General Ledger Management

Maintenance of an accurate and up to date general ledger is necessary for generating and preparing accurate and timely financial information. Our process includes a monthly reconciliation and review of key general ledger accounts as well as providing and implementing all recommended changes to ledger accounts.

Cash Reconciliations and Cash Management Functions:

Depending upon the need of the business, monthly, weekly or daily, our professionals will provide accurate reconciliations of cash and updated cash flow forecasts and analysis to ensure that your business is operating with appropriate levels of cash flow and cash needs.

Cash Reconciliations and Cash Management Functions

Cash Reconciliations and Cash Management Functions:

Depending upon the need of the business, monthly, weekly or daily, our professionals will provide accurate reconciliations of cash and updated cash flow forecasts and analysis to ensure that your business is operating with appropriate levels of cash flow and cash needs.

Accounts Receivable Management

Our professionals will track monthly, weekly or daily receivable needs and manage all accounts. From processing payments to cash deposits and cash collection, we will handle all your accounts receivable needs.

Accounts Payable and Disbursement Management

Our professionals will track monthly, weekly, or daily receivable needs and manage all accounts. From processing payments to cash deposits and cash collection, we will handle all your accounts receivable needs.

Accounts Payable and Disbursement Management:

From vendor payment to the application of invoices and payables management, we will handle all your accounts payable and disbursement needs.

Fixed Asset Management

Maintenance and accurate reflection of all fixed assets within your business is vital, not only for financial statement purposes but for tax purposes. Let our team of professionals manage depreciation expense and accumulated depreciation of your business assets for both financial statement and tax purposes

Financial Statements and Financial Performance Indicators:

Our team of professionals will provide a complete monthly financial package generated from your accounting system. This financial package will include balance sheet(s), income statement(s), and other performance-related management ratios and analysis. Our firm uses leading-edge technology for the dashboard and key performance indicator reporting to generate financial ratios and other business analysis to help you run and manage your business effectively.

Financial Statements and Financial Performance Indicators

Our team of professionals will provide a complete monthly financial package generated from your accounting system. This financial package will include balance sheet(s), income statement(s), and other performance-related management ratios and analysis. Our firm uses leading-edge technology for the dashboard and key performance indicator reporting to generate financial ratios and other business analysis to help you run and manage your business effectively.

Outsourced Accounting And Financial Services

We can assist your business by providing short-term accounting and staffing solutions to meet your business-related needs. No job is too big or too small for our team. We can provide experienced personnel to meet your accounting and finance needs on a short or long-term basis.

Chief Financial officer and Controller Support Services:

Our company will provide you Chief Financial officer and Controller Support services to help you boost your business. To help you grow, we are always present beside you.

Our company will provide you Chief Financial officer and Controller Support services to help you boost your business. To help you grow we are always present beside you.

GET A FREE QUOTE

Considering outsourcing your finance and accounting processes but not certain whether it is going to benefit your business? Our professionals are going to evaluate your current processes and provide straight forward guidance on how it may add value to your business. Absolutely no obligations, no fee, and no risk!

Send message