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Yorkshire Enterprises Inc.
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One less worry. Yorkshire Enterprises provides a complete range of services.
Set Up of Accounting Software
Includes the installation and set up of your chart of accounts and maintaining your General Ledger.
Accounts Payable
Includes comparing packing slips and purchase orders to invoices, then coding and entering invoices, and processing cheques for payment upon approval. Any discount terms will be taken advantage of if required.
Accounts Receivable
Includes entering all sales invoices and processing cheques once received. Bank deposits can be made for you if required. Payroll, which includes processing pay cheques, unionized or not, T-4 slips, year-end summary and Record of Employment forms filled out if required.
Government Remittances
Includes calculating the remittance for source deductions, (EI, CPP and Federal Tax), EHT, WS&IB, GST and PST. Processing cheques for Federal and Provincial Corporate Taxes completed when required.
Bank Reconciliations
Done monthly to ensure accurate bank balance for current status of your business. Multi-currency, no problem. Multiple bank accounts can be set up.
Financial Reporting
Includes monthly draft of balance sheet and income statement financials, accounts payable and receivable listings, summary and detail as required, cash flow analysis, profit & loss reports, work in progress, inventory, year end preparation and much more.
Tax Preparation
Your Personal Income Taxes are prepared by seasoned professionals – collectively our tax team has over 35 years of experience. You can be sure your return is completed accurately and for maximum tax savings. Efile services are available.
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