You will get Clean books ready for Tax Filling


Project details
This project focuses on fast, accurate, and timely clean-up of financial books from previous years, ensuring all transactions are complete and records are fully prepared for tax filings.
What sets this project apart is my meticulous review process, leveraging expertise to identify and correct discrepancies quickly, and implementing efficient workflows that guarantee results are delivered promptly.
What sets this project apart is my meticulous review process, leveraging expertise to identify and correct discrepancies quickly, and implementing efficient workflows that guarantee results are delivered promptly.
Project Type
OtherWhat's included $1,000
These options are included with the project scope.
$1,000
- Delivery Time 7 days
- Number of Revisions 0
About Riza May Kristin
E-Commerce Bookkeeping Specialist | QBO | Amazon, Shopify, Faire
Cantilan, Philippines - 12:25 pm local time
I specialize in project-based engagements: month-end closes, QBO cleanups, catch-up bookkeeping, and reconciliations for multi-channel sellers. I work in QuickBooks Online and understand the nuances of e-commerce accounting — platform fees, merchant cash advances, payout timing, accrual-basis recording, and sales tax compliance.
What I bring to the table:
✔ Multi-channel e-commerce bookkeeping (Amazon Seller Central, Shopify, Faire, wholesale distributors)
✔ QBO setup, cleanup, and month-end close
✔ Amazon fee reconciliation and Faire payout journal entries
✔ Credit card reconciliations and balance sheet cleanup
✔ Canadian GST/HST compliance
✔ Loan and MCA amortization schedules (Wayflyer, Shopify Capital)
I'm available for short-term and project-based work. If your books are behind, your QBO is a mess, or you need a reliable closer for month-end — let's talk.
Steps for completing your project
After purchasing the project, send requirements so Riza May Kristin can start the project.
Delivery time starts when Riza May Kristin receives requirements from you.
Riza May Kristin works on your project following the steps below.
Revisions may occur after the delivery date.
Categorize bank transactions
Categorize bank transactions
Reconcile Bank Statements