Bookkeeping support that brings order to the numbers.
314 Accounting helps small businesses clean up the books, stay current, and gain clearer visibility into their financials through practical bookkeeping, reconciliations, and reporting support.
Clean records. Consistent processes. Better information.
Good bookkeeping is not just about recording transactions. It is about keeping your financial records accurate, organized, and useful.
314 Accounting provides bookkeeping and reporting support for small businesses that need help getting the books under control, keeping them current, or improving the quality of their financial information. Whether you are behind, dealing with messy records, or simply need a more reliable process going forward, the work is designed to bring clarity and structure to the numbers.
Core Services
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If your books are behind, disorganized, or full of unresolved issues, cleanup work can help restore order and create a more reliable starting point.
This may include:
Catch-up bookkeeping
Cleanup of historical transactions
Review of misclassified activity
Resolution of unreconciled balances
Organization of balance sheet accounts
Identification of problem areas requiring correction
Best for: Businesses that have fallen behind, changed systems, or are no longer confident in the accuracy of the books.
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Ongoing bookkeeping support helps keep your records current, organized, and easier to manage month after month.
This may include:
Monthly transaction review and classification
Routine bookkeeping maintenance
Organization of records and supporting documentation
Month-end bookkeeping support
Ongoing review for consistency and accuracy
Best for: Businesses that want reliable monthly support and do not want bookkeeping falling behind.
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Reconciliations are one of the most important parts of clean bookkeeping. If accounts are not tied out properly, the financial statements may not be telling the full story.
This may include:
Bank reconciliations
Credit card reconciliations
Loan balance reconciliation
Review of key balance sheet accounts
Identification of unexplained differences or stale balances
Best for: Businesses with unclear balances, unreconciled accounts, or concerns about accuracy.
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Sometimes the standard reports in accounting software are not enough. Clear reporting and well-built Excel schedules can make the numbers more useful for day-to-day management.
This may include:
Basic financial reporting support
Custom Excel schedules
Monthly summary reporting
Trend tracking and comparative schedules
Support organizing financial data into a more usable format
Best for: Business owners who want clearer visibility into performance and better tools for decision-making.
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A books review is a practical way to identify what is working, what is not, and where cleanup or process improvements may be needed.
This may include:
Review of bookkeeping structure and organization
Identification of inconsistencies or cleanup needs
Review of reconciliations and balances
General feedback on record quality and reporting clarity
Recommendations for next steps
Best for: Business owners who want a professional second look before small issues become larger ones.