|
Review & Reconciliation
client posts to general ledger (usually to QuickBooks); Dixon & Company
provides
 | Review of entries made
monthly |
 | Reconciliation of bank
statements |
 |
Year-end assistance to client staff in meeting yearend
reporting for internal and external requirements |
 |
reconcile asset accounts |
 |
review and clean up data in
system |
Bank statements can be sent
directly to Dixon & Company to increase internal control. |