Creating the space for your passion to thrive.
Experience the elegance of a breathable financial foundation. Through my signature bookkeeping method, I bring meticulous order to your transactions to create the space your business needs to thrive.
I handle the intricacies of your ledger so you can move from a place of administrative pressure to one of inspired leadership and absolute clarity.
Services
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The Core Ledger package is designed to provide you with a rock-solid financial foundation. As your dedicated bookkeeper, I personally ensure your records remain accurate, organized, and tax-ready, allowing you to stop worrying about the details and start focusing on your growth.
I maintain the "financial pulse" of your business through four essential pillars:
Precise Data Entry: I meticulously record every financial transaction—including sales, receipts, purchases, and payments—ensuring nothing is overlooked.
Monthly Account Reconciliation: I perform a rigorous cross-reference of your internal records against bank and credit card statements. This "Modus" process identifies discrepancies and prevents duplicates, ensuring your ending balances are 100% accurate every single month.
Accounts Payable & Receivable Oversight: I track your outstanding bills and incoming payments, providing you with the oversight needed to maintain a healthy, predictable cash flow.
General Ledger Maintenance: I ensure every transaction is properly categorized within your Chart of Accounts. This results in clean, professional reporting that makes year-end tax filing seamless.
The Core Benefits
Audit Readiness: I maintain a clean, professional paper trail, so you are always prepared for tax season without the last-minute scramble.
Financial Clarity: You receive an up-to-date, high-definition view of your cash flow, removing the "guesswork" from your bank balance.
Proactive Error Detection: I catch bank errors, double-billings, or missed payments before they impact your bottom line or become a liability.
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My Professional Suite is designed for growing businesses that require more active financial management and frequent insights. At this level, I move beyond historical record-keeping to provide proactive support that keeps your business moving forward. This tier includes everything in the Core Ledger, plus:
Seamless Payroll Administration: I take full ownership of your payroll processing to ensure your team is paid accurately and on time. I handle the details and maintain strict compliance with payroll tax records so you don’t have to.
Proactive Invoicing & AR Management: I manage the creation and distribution of your client invoices and actively monitor your accounts receivable. My goal is to reduce your "time-to-payment" window, ensuring your cash flow remains consistent and healthy.
Weekly Financial Reporting: We move beyond the monthly snapshot. I provide weekly updates to give you frequent visibility into your performance, allowing you to make agile business decisions based on real-time data.
Key Benefits
Time Recovery: By offloading the administrative weight of payroll and billing to me, you reclaim the hours needed to focus on your core business operations.
Agile Decision Making: With my weekly reports, you are never surprised by your bank balance or overhead costs. You have the data you need, exactly when you need it.
Enhanced Cash Flow: My professional invoicing and diligent tracking ensure you get paid faster, putting your hard-earned revenue back into your business sooner.
End-to-End Accuracy: By integrating payroll and invoicing directly into your books myself, I eliminate the risk of manual entry errors and ensure a perfectly reconciled month-end.
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My premium tier is designed for business owners who want a high-definition view of their financial performance. I leverage advanced analytical tools to transform your raw data into visual dashboards and forward-looking projections, ensuring you have the strategic information you need to lead your business with confidence. This tier includes everything in my Core and Intermediate levels, plus:
Visual Performance Dashboards: I replace static spreadsheets with easy-to-read charts and graphs. I track your most important numbers—including Revenue, Gross Margin, and Expense Trends—so you can see your progress at a glance.
Automated Cash Flow Projections: Using AI-driven modeling, I provide a 90-day look-ahead at your bank balance based on your historical patterns and upcoming bills, helping you plan for the future without the guesswork.
Variance & Trend Alerts: By leveraging advanced integrations, your financial data is continuously screened for irregularities. If a subscription price jumps or a utility bill spikes unexpectedly, I will alert you so we can investigate the cause immediately.
Monthly Metric Review: I provide a detailed summary report highlighting your Key Performance Indicators (KPIs), such as average customer value and overhead percentages, delivered in a clear, non-technical format.
Key Benefits
Total Financial Transparency: I provide you with high-level data insights usually reserved for large corporations, specifically tailored for your daily operations.
Proactive Planning: Anticipate cash shortages or surpluses months in advance with the forecasting models I build for you.
Rapid Anomaly Detection: I identify unusual spending or billing errors the moment they deviate from your business’s "normal" patterns.
Data-Driven Leadership: Stop managing by "gut feel" and start making decisions based on visual, real-time performance metrics provided by a dedicated partner.
The Modus Philosophy
I believe that a business owner’s energy should be reserved for their passion, not their paperwork. I founded Modus Books on the conviction that true growth requires a breathable financial infrastructure—one that handles the weight of expansion without suffocating your creativity.
I don’t just reconcile accounts; I provide the clarity you need to remain inspired and lead with absolute confidence. Every ledger I maintain is a commitment to your peace of mind and the enduring integrity of your vision. Learn more
The Modus Method
A Reliable Rhythm
I establish a consistent communication cadence from day one. I don’t believe in "radio silence," especially during tax season. I am available when you need me, ensuring your questions are answered and your records stay current without you having to chase me down.
The Result: You regain the mental bandwidth to focus on your clients, knowing your "back office" is moving like clockwork.
Audit-Ready Accuracy
I perform a meticulous, multi-step reconciliation process on every account. I don’t just "match" transactions; I verify the integrity of your data against the highest professional standards. I categorize every dollar with the end goal in mind: clean, CPA-ready books.
The Result: Tax season becomes a non-event. You’ll have the confidence that your records are defensible, accurate, and ready for your accountant at a moment’s notice.
Proactive Reporting
In business, hindsight is only useful if it’s timely. I follow a strict "Day 10" standard, closing your books and delivering your financial package by the 10th of every month. I look ahead at your cash flow and upcoming obligations rather than just looking backward.
The Result: You transition from being reactive to being proactive. You get a ten-day head start on the month ahead, equipped with the data to make confident, real-time decisions.
Meaningful Metrics
A Balance Sheet is only valuable if you understand what it’s telling you. Along with your financial statements, I provide a high-level narrative in plain English. I translate the spreadsheets into a clear picture of your business’s performance, highlighting where you’re winning and where we can optimize.
The Result: You gain true financial literacy. You’ll stop guessing about your profitability and start leading with a clear understanding of your business’s story.