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  • Weekly Payroll
  • Monthly and Year-end Government Reporting
  • Depositing of Payroll Taxes
  • Accounts Receivable, including depositing funds into bank accounts
  • Accounts Payable
  • Reconciling Bank Accounts, including transferring of funds from one account to another to receive the greatest benefits for clients' monies
  • Reviewing of Accounts for Financial Statements
  • Working with CPA for End of Year Taxes
  • General Bookkeeping
  • Data Entry/Input Transactions
  • Payroll Management
  • Expense Reporting
  • Cash Management Assistance
  • Vendor and Customer Files Assistance
  • Budgeting
  • Job Costing
  • Notary
  • Peachtree Accounting and Quickbooks Accounting Software
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    PO Box 188 | Abingdon, Maryland 21009 | T 410.365.6167 | F 410.472.0998 | bjcservices@comcast.net