ARKAN FOR ACCOUNTING
WE OFFER A COMPLETE RANGE OF ACCOUNTING, TAX, AND CONSULTING SERVICES TAILORED TO MEET THE NEEDS OF OUR INDIVIDUAL AND BUSINESS CLIENTS..
Accounting and Bookkeeping Services
Providing financial information to our clients in a timely and accurate manner is a commitment that we feel cannot be compromised. Meaningful, well-organized financial records ensure that your business operations will run more efficiently on a daily basis. Our firm provides a full range of accounting services, including the following:
- General ledger & financial statement preparation.
- Bookkeeping (Monthly/Quarterly/Annually).
- Accounting system setup for new businesses.
- Personal financial statements.
Business Entity Selection
Choosing the form of entity of your business (e.g., “S” corporation, sole proprietor, limited liability company) is a crucial decision that can have longstanding tax implications. We can assist you in evaluating the pros and cons of each entity type to help you determine the most advantageous form of business for your company.
Strategic Tax Planning
Tax planning and preparation form a winning combination for our successful individual and business clients. Whether you are an individual or a business entity, our experienced staff can develop tax strategies that take advantage of new tax laws and legislation.
As a business grows, it must hire more employees, which can result in increased payroll administration. We can assist you in implementing the controls necessary to ensure a reliable, efficient, and effective payroll system. Our firm can also help you develop a payroll system and prepare all necessary payroll tax returns in a timely manner. Our payroll process includes pre-tax deductions, state payroll filings, and related payroll issues.
Sales Tax Services
Many of our clients are responsible for collecting and submitting sales taxes in many different jurisdictions. We can assist your company in compiling information and preparing sales tax returns in an efficient and timely manner.
Cash Flow and Budget Analysis
Good cash management can improve a company’s liquidity, reduce costs, and increase profitability. Miles & Thirion can help you maintain optimal cash flow levels by tracking sources and uses, forecasting, and budgeting accordingly. Cash flow can make or break the business’s ability to survive. We can help you analyze your spending and rebalance your budget and/or debts for an optimal cash flow to support your business’s success. This plan would be monitored so that if and when there were any major changes in your business structure, you would be assured of operating at an optimal level. With our help and guidance, you will always be on top of your finances and ready for the future.