(403) 493-1852 info@axorabookkeeping.ca

Services

Monthly Bookkeeping

Axora Bookkeeping provides precise, up-to-date recording and reconciliation of all financial transactions each month.

Every income, expense, bank, and credit card entry is meticulously recorded and reconciled against statements, ensuring audit-ready records and an accurate view of the organization’s financial position at all times.

Accounts Receivable & Accounts Payable Management

Comprehensive management of receivables and payables keeps cash flow healthy and predictable.

Customer invoices are tracked and monitored for timely collection, while vendor bills are scheduled and paid accurately.

This service reduces late fees, improves collections, and maintains strong relationships with both customers and suppliers.

Government Remittances

All required federal and provincial filings, such as GST/HST returns and payroll source deductions, are prepared and submitted on schedule.

Axora Bookkeeping verifies calculations, manages deadlines, and ensures compliance with Canada Revenue Agency and Alberta regulations, eliminating the risk of penalties or interest charges.

Payroll

Complete payroll administration is delivered with accuracy and confidentiality.

Services include gross-to-net calculations, statutory deductions, vacation pay, remittance of source deductions, and the preparation of employee pay stubs and year-end T4 slips.

Employees are paid correctly and on time, and records remain compliant with federal and provincial standards.

Financial Reporting & Analysis

Accurate and timely financial statements, including Profit and Loss, Balance Sheet, and Cash Flow reports, provide a clear picture of your business performance.

Key performance indicators, such as profit margins, cost ratios, and cash flow trends, are carefully analyzed to highlight strengths, uncover variances, and identify opportunities to enhance both profitability and operational efficiency.

Tax Preparation Support

At year-end, Axora Bookkeeping compiles and organizes complete financial data, including trial balances, reconciliations, and supporting schedules.

This ensures external tax professionals have everything required for accurate and timely corporate or personal tax filings, streamlining the process and reducing last-minute issues.

Pricing is customized to reflect the complexity of your needs and the volume of transactions. From basic monthly bookkeeping to advanced financial reporting, we’ll provide a tailored quote that fits your business.