We know that it is so important for the business owner to track daily transactions into and from their accounts. What is equally important is to then reconcile these daily transactions with the month end statements that are provided by the bank. Transactions such as service charges, overdraft interest and credit card transactions are usually seen for the first time in the month end bank statements and they must be entered in order to track the company's cash situation at any given time.
Many business owners just don't have the time to sit down at the end of each month to go through line-by-line to reconcile their bank statements. Montreal Bookkeeping helps many of their customers do just that - thereby allowing them to spend more time on the business. And that helps the bottom line!