Fiscal Services
Our staff will record journal entries, post to and reconcile all ledgers, reconcile bank statements, post earnings records, prepare financial reports, perform cash flow analysis, risk analysis and assessment, process payroll, and provide year-end reconciliation. We currently manage a fiscal portfolio that represents over 60 funding streams of contracts from federal, state, local, third-party insurers, and grants that total a combined gross revenue of over 60 million dollars.