Bookkeeping services
We provide accurate and timely recording and categorizing of financial transactions, including sales, purchases, receipts, and payments to ensure up-to-date and precise financial records to help you stay organized and be in compliance with tax regulations. Additionally, we perform bank reconciliations by comparing and reconciling the company’s financial records with bank statements in order to detect discrepancies, prevent fraud, and ensure the accuracy of your financial records.
Accounts Payable and Accounts Receivable Management
Our AP management helps your business stay on track with its bill payments. We monitor and manage outgoing payments to all your suppliers to avoid unnecessary late fees, and we help optimize cash flow by managing payment schedules effectively.​Our AR management offers tracking and managing of incoming payments from your customers and ensures timely collection of outstanding invoices, reducing the risk of bad debts and improve cash flow.
Cash Flow Management
We monitor, analyze, and optimize the flow of cash in and out of your business, ensuring sufficient liquidity to meet obligations, capitalize on opportunities, and weather unforeseen challenges. By implementing effective cash flow management strategies, we help your business maintain a healthy balance between inflows and outflows, preventing cash shortages that can jeopardize operations. Our services include forecasting future cash flows, identifying potential bottlenecks, and implementing measures to improve cash flow efficiency.
Financial Consulting
Our financial consulting services are designed to drive sustainable growth, enhance profitability, and ensure financial resilience in an ever-evolving business environment. With Neven Financial Services as your trusted advisor, your business can confidently navigate financial complexities and achieve its full potential.
Budgeting and Forecasting
Our budgeting and forecasting services are tailored to guide your business towards financial success. We create detailed financial plans and projections, aligning resources with strategic goals. By leveraging historical data and market trends, we provide realistic revenue forecasts and anticipate expenses to prevent budget overruns. Through continuous variance analysis, we track performance against the budget to achieve your financial objectives confidently.
Financial Reporting
We prepare and analyze detailed financial statements such as balance sheets, income statements, and cash flow statements which offer clear insights into the financial health of your business and support you in making informed business decisions.