9899 Hwy 7, Acton, On , Ontario, L7J 2L8, Canada
About Snow Corp Accounting
Established January 2008
Snow Corp Accounting has been helping small to medium size businesses with their accounting and bookkeeping needs. Contact them today for a FREE consultation and learn how you can save time and money on your business.
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 Includes processing paycheques, 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 & Federal & Provincial Tax), EHT, WS&IB, HST. Processing cheques for Federal and Provincial Corporate Taxes completed when required. Bank Reconciliation's 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.
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 Includes processing paycheques, 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 & Federal & Provincial Tax), EHT, WS&IB, HST. Processing cheques for Federal and Provincial Corporate Taxes completed when required. Bank Reconciliation's 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.
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