Our Services
Accounting
Providing process of evaluation and assessment of your business profitability, projects, budgets and all finance related activities to determine their performance and appropriateness.
Taxation
Providing professional tax preparation services for individuals, self employed, sole proprietors and small incorporated businesses.
Bookkeeping
Providing full cycle accounting services including collective process of identifying, analyzing, and recording the accounting activities of your Business.
Accounting Services
Controller Services
Managing all accounting-related activities, including high-level accounting, managerial accounting, and finance activities, within an organization.
Assistance with Audits
Reviewing and verifying the accuracy of financial records and ensuring that your Company / Business comply with tax laws.
Month-end Preparation
Ensuring all financial transactions have been reviewed, reconciled and accounted for in the previous month.
Year-end Preparation
Making sure that all financial activities for the year are accurately recorded in your accounts prior to closing the accounts and financial statement preparation.
Budgeting and Forecasting
Developing effective and efficient budget and forecasting to achieve your business operation Goal.
Financial Statements Preparation
Preparing all financial statements : Income statement, Cash Flow statement, Statement of change in equity, Balance sheet and Note to financial statements.
Taxation Services

Business Tax Return
GST/HST Filing
We provide assistance with the HST computation, review and filing requirements for your business.
Real Estate Agents
We are experts in tax preparation for real estate agents and assist with CRA audits.
Personal Tax Return
For individuals
Including T1,T4, T4A, T3, and T5
Tax Planning
RRSP and TFSA contribution
Review and Analyzes
Tax return prepared by you
Filing your tax
Net filing your tax to CRA

Our Bookkeeping Services
Day to day transactions processing
Preparing source documents and recording every financial transaction to keep your business floating.
Accounts receivable & Accounts payable
Managing accounts receivable and accounts payable effectively to optimize cash flow for your business.
Bank and credit card Reconciliations
Completing reconciliations at regular intervals for all banks / credit cards accounts, to ensure that you company’s cash records are correct.
General Ledger Maintenance
Keeping General ledger accounts up to date with all financial transactions to produce accurate financial reports.
Payroll Processing
Accurately processing and administrating of employee pay base, employee type, status, salary, wages and deductions.
Financial Reporting
Preparing Financial statements, which include the income statement, balance sheet, and statement of cash flows.
