Cannabis Accounting Services

  • Payroll Processing

    By outsourcing payroll tasks to you can reduce administrative burden, minimize errors, and allocate resources more efficiently. With the integration of an accounting system, we provide a comprehensive financial management solution. Overall, optimizing payroll operations allows you to focus on your core activities and ensure accurate and timely payments to employees. Payroll services hosted by Gusto.

  • Bookkeeping

    Bookkeeping services are the backbone of financial management for businesses, offering systematic recording, organizing, and tracking of financial transactions. These services involve maintaining accurate records of income, expenses, assets, and liabilities, ensuring compliance with accounting standards and tax regulations. By outsourcing bookkeeping tasks, companies can improve efficiency, reduce errors, and free up valuable time to focus on strategic decision-making.

  • Sales & Excise Tax

    Sales and excis tax often require businesses to maintain detailed records, maintain an accounting system, and stay updated on tax regulations to ensure compliance. Inaccurate reporting and payment of these taxes can have larger financial implications down the road. Outsourcing these tasks ensures accuracy and more time for you to do what you do best.

  • Financial Statements

    Producing monthly financial statements is a fundamental aspect of financial management for businesses. These statements, including the income statement, balance sheet, and cash flow statement, provide a snapshot of a company's financial performance, position, and liquidity within a specific period. Timely and accurate monthly financial statements enable stakeholders, including investors, creditors, and management, to evaluate performance, identify trends, and make informed decisions to drive the company's growth and success.

  • Cash Flow Projections

    Cash flow projections are crucial financial tools used by businesses to forecast the inflow and outflow of cash over a specific period, typically monthly, quarterly, or annually. These projections involve estimating future income, expenses, and investments to anticipate the company's liquidity position and cash needs. By analyzing cash flow projections, businesses can anticipate potential cash shortages or surpluses, allowing for proactive management of working capital and financial resources. Ultimately, accurate cash flow projections are critical for effective cash management and long-term business success.

  • Financial Forecasting

    Forecasting future financial performance looks at historical data, market trends, and strategic plans. By utilizing advanced analytical tools and methodologies, we develop detailed projections of revenue, expenses, profits, and cash flows over a specified period, typically ranging from one to five years. These services allow businesses to gain valuable insights into their financial outlook, identify potential risks and opportunities, and make informed decisions to optimize performance and mitigate uncertainties.

Dispensary & Micro-Cultivations

Begins at $550/mo.

Cultivators & Processors

Begins at $775/mo.