Our Comprehensive Bookkeeping Services

At Legal Bookkeeping Pro, we offer a range of comprehensive bookkeeping services designed to support the smooth operation and compliance of your law firm. Our detailed approach ensures that every aspect of your financial management is handled with precision and care.

Processing Receipts and Payments for Both Trust and Business Accounts

We meticulously manage the processing of receipts and payments for both your trust and business accounts. This includes ensuring that all transactions are accurately recorded, properly classified, and compliant with legal standards. Our approach guarantees that client funds and business finances are managed with the highest level of integrity and accuracy.

Bank Reconciliations

Our team performs thorough bank reconciliations to ensure that your financial records align with bank statements. This process identifies and resolves discrepancies, providing you with a clear and accurate picture of your firm’s financial status.

Capturing Journals

We handle the capturing of all necessary journal entries, ensuring that financial transactions are recorded accurately in your accounting system. This includes adjustments, corrections, and regular updates to maintain the integrity of your financial records.

Investment Account Journals and Reconciliation

Managing investment accounts requires careful attention. We record all transactions related to your investment accounts and perform reconciliations to ensure that investment records are accurate and up-to-date.

Credit Card and Petty Cash Processing

Our services include the management of credit card and petty cash transactions. We process expenses, reconcile statements, and ensure that all transactions are properly documented and aligned with your firm’s financial policies.

Issuing Monthly Statements and Invoices

We generate and issue monthly statements and invoices, ensuring that your billing processes are handled efficiently. This can include accurate recording of all fees, helping you maintain steady cash flow.

Month-End and Year-End Procedures

Our comprehensive month-end and year-end procedures include closing of financial periods, preparing financial statements, and performing necessary adjustments. This ensures that your financial records are accurate and ready for review, audit, and reporting.

Tax Submission

We manage all aspects of tax submissions, including the preparation and filing of tax returns to ensure compliance with all regulatory requirements. Our goal is to minimize your tax liabilities while ensuring timely and accurate submission of all necessary documentation

Payroll for Up to 10 Staff

Our payroll services cover up to 10 employees, including the processing of salaries, updating leave records, and generating payslips. We ensure that all payroll functions are handled accurately and on time, relieving you of the administrative burden and helping you maintain employee satisfaction.

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