Comprehensive Bookkeeping Services: Recurring, One-Time, and Customizable Packages.
Streamline Your Growth Journey: Let Us Handle Your Books With Full-Cycle Bookkeeping Services
Record Transactions
Record and classify income and expense transactions. Streamline business operations by setting up reoccurring transactions if applicable.
Bank Reconciliation
Monthly bank reconciliation on all accounts including but not limited to; chequing, savings and credit cards. Ensuring records are accurate and up to date.
Customized Financial Reports
Every company is unique, with our specialized reporting we can make the numbers make sense to you with customized reporting.
Add-On Services
Customize your full-cycle bookkeeping service with any of our add-on services! If you need assistance with invoicing, payroll or accounts receivable and payable management. T. Duffy Co. has a budget friendly solution for your business.
Seamless Payroll and Tax Management: Let Us Handle the Details
Payroll Service
Calculate and compute hourly or salaries employees payroll. Accurate and efficient payroll solutions for your hard working employees.
Payroll Remittance
Payroll remittance as per CRA guidelines to ensure compliance.
Tax Management
Our tax management portion of this service ensures you are tax complaint avoiding interest and penalties. We take care of GST filing and corporate and federal tax submissions.
Set-up Fee (if required)
One time set-up fee this can include but not limited to; direct deposit set-up, set-up employees in new accounting software, set-up with CRA and/or bank for tax management.
Optimize Your Finances: Comprehensive Fiscal Year Maintenance and Review Services
Review
Detailed review of trial balance and general ledgers.
Document Preparation
Assisting the CPA with any requested documentation for a smooth tax filing process.
Finalization
Adjusting entries as required by the CPA to bring your current fiscal year up to date with the financial statements.
Revitalize Your Finances: Expert account clean-up and reconciliation services. Say goodbye to overdue accounts and hello to financial clarity.
Detailed review
Detailed review of general ledgers and trial balance. Assistance with chart of accounts and proper posting of income and expense categories
Bank Reconciliation
Bank reconciliation on all accounts. This can include reconciling multiple months at a time and including clearing accounts to ensure transactions are accurate and up to date.
Posting & Receipting
Posting and receipting transactions as per source documents provided by client.
Customized Reports & Support
Customized reports generated at end of project based off of clients needs. Support and direction for ongoing success.
Elevate Your Financial Management: Explore Our Range of Bookkeeping Solutions, Including Invoicing, Accounts Payable and more!
Invoicing
Data entry assistance can be completed by remoting into software systems or customize invoice templates. We also provide postage services to customers within Canada at an additional charge.
Accounts Payable Management
Let us pay your vendors in a timely fashion. Cheques and postage within Canada at an additional charge.
GST Filing
One time GST filing. Ensure tax compliance and avoid interest and penalties with our one time gst filing service.
Customized Reports
Customized financial reports can be pulled at anytime to have a snap shot of your companies financial reports.