Our services are broken down to better facilitate the needs of our clients. Our goal in providing these services are to allow our clients to reach their company’s full potential and better leverage their assets. Scroll down to see the below list of services provided by Total Balance Bookkeeping!
To contact us call (226) 646-0991
Accounts payable includes all the invoices received by your company to be reviewed, entered and processed for payment. Procedures could be discussed to ensure the most accurate and timely completion.
Accounts receivable includes the creation and distribution of your companies invoices to your customers. Conversations will take place to better control the delinquent customer payment.
We enter and post timesheets for monthly or bi-weekly payroll for all employees, ensuring timely pay runs.
We gather all HST and GST information and file it directly with Canada Revenue Agency. Our tax knowledge will help minimize payments.
WSIB Premium Remittance
We will calculate, report, and organize premium payments based on either actual insurable earnings for those reporting monthly or quarterly, or on estimated earnings for those reporting annually.
The closing entries are made to clear out your temporary accounts and transfer the balances to the balance sheet under retained earnings.
Financial Statement Preparation
We will compile your financial statements, income statement, statement of retained earnings, balance sheet and statement of cash flow, to ensure you understand your business’s financial position at that given time.