Your reconciliations are months behind because no one has time to keep on top of them.
You're not sure your reporting is accurate enough to hand to your board or auditor.
Tracking restricted funds, designated giving, and general accounts feels like guesswork.
Transaction Coding & Reconciliation
Bank and giving platform transactions coded and reconciled on a regular schedule.
Fund Accounting
Clear tracking of general, designated, and restricted funds, kept separate and accurate.
Payroll Support
Support processing staff payroll and keeping records compliant.
Monthly Reporting
Straightforward financial reports your leadership and board can actually read.
Budget Tracking
Actuals tracked against budget, so overspend gets caught early, not at year-end.
Audit & Compliance Readiness
Books kept in a state that's ready to hand to an accountant or auditor at any time.
Churches without a dedicated bookkeeper, relying on a volunteer or an overloaded staff member.
Churches wanting cleaner, board-ready financial reporting.
Churches needing fund accounting done properly, not just tracked in one big account.
1
You give us access to your accounts, giving platform, and existing records.
2
We get your books current, reconciled, and set up on an ongoing rhythm.
3
You receive regular reports and can reach out any time you need a number explained.