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Account 3000

Bookkeeping & Financial Statements

Monthly bookkeeping, bank reconciliation, financial statements, and QuickBooks, Sage or Zoho setup and ongoing support.

What's included

How we work

  1. 01

    Review and setupWe review your current records and set up (or clean up) your chart of accounts.

  2. 02

    Monthly reconciliationBank feeds and source documents are reconciled every month.

  3. 03

    Management accountsYou receive management accounts with a plain-language summary.

  4. 04

    Year-end statementsFinancial statements are prepared, ready for filing or audit.

Pricing is scoped after a short discovery call so the engagement matches your size and filing complexity — no generic packages, no surprise invoices.

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