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Review & Reconciliation

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Review & Reconciliation – client posts to general ledger (usually to QuickBooks); Dixon & Company provides
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Review of entries made monthly

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Reconciliation of bank statements

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Year-end assistance to client staff in meeting yearend reporting for internal and external requirements

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reconcile asset accounts

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review and clean up data in system 

Bank statements can be sent directly to Dixon & Company to increase internal control.

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