BTQ manages all of a client’s financial records and functions including:

  • Maintaining the General Ledger
  • Making disbursements as authorized by the client
  • Overseeing Lockbox and deposit services
  • Preparing monthly and annual financial statements
  • Creating budget-to-actual revenue and expense reports by department
  • Conducting agency-wide variance analysis
  • Ensuring Internal Controls and compliance

BTQ's Customized Approach

All organizations must comply with a uniform set of financial and accounting requirements. BTQ is able to implement a baseline platform to meet these needs and customize our approach to meet your organization's particular and complex accounting demands.