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Accounting Services

Accounting Services


With decades of top experience, our team can advise businesses of any scale! Our company’s history starts 26 years ago when we’ve decided to make the world a better place for those, who are the owners of small and medium-sized business in Houston, Texas. By now we’ve helped hundreds of top-flight companies and SMBs to call the right decisions on internal management.

We will maintain your books using best practices with current regulations.


  • Daily, weekly, and monthly bookkeeping.


Including services:

  • Business bank reconciliations.
  • Credit card management.
  • Accounts receivable.
  • Accounts payable.
  • Sales tax.




Basic Accounting

Record bank & credit card transactions.

  • Reconcile bank accounts, credit card accounts.

 

What it contains:

  • Posting your transactions, 2 Banks accounts, 1 credit card.
  • Reconciling your transactions with your bank/credit card statements
  • Sending you and/or your CPA monthly financial reports.

 

How much it cost?

Depends on the number of transactions. Sized to your requirements

Advanced Accounting

Bank & credit card transactions
Daily Transaction Processing
Process Accounts Receivables
Vendors & 1099 Preparation
Bank & credit card transactions

Record bank & credit card transactions.

  • Reconcile bank accounts, credit card accounts

 

What it contains:

  • Posting your transactions, 3 to 5 Banks accounts, 2 to 3 credit card.
  • Reconciling your transactions with your bank/credit card statements
  • Sending you and/or your CPA monthly financial reports.
  • Prepare & file/e-file sales tax.
Daily Transaction Processing
Process Accounts Receivables

Payroll

What it contains:

  • Review time sheets, work charts, wage computation, and other information to detect and reconcile payroll discrepancies.
  • Verify attendance, hours worked, and pay adjustments, and post information onto designated records.
  • Compute wages and deductions, and enter data into computers.
  • Record employee information, such as exemptions, transfers, and resignations, to maintain and update payroll records.
  • Process and issue employee paychecks and statements of earnings and deductions.
  • Compile statistical reports, statements, and summaries related to pay and benefits accounts, and submit them to appropriate departments.
  • Prepare and balance period-end reports, and reconcile issued payrolls to bank statements.
  • Payroll taxes: Quarterly reports Forms 941B, TWC.  Year-end report: 940, W2, W3.

Financial Reporting

Financial Reporting

What it contains:

  • Balance Sheet preparation.
  • Profit & Loss preparation.
  • Trial balance preparation.
  • Fixed asset and depreciation calculation.
  • Accounts payable reports.
  • Accounts receivables reports.
  • Inventory reports.
  • Cash flow.
  • Breakeven point.