
Catch-Up Bookkeeping · Victoria, BC
Bring Your Business Books Up to Date
Get overdue transactions organized and accounts reconciled, with precise bookkeeping support for small businesses in Victoria.
Victoria, BC (250) 555-0137 Mon–Fri: 8:30 AM – 5:30 PM
Catch-Up Bookkeeping FAQs
What does catch-up bookkeeping include?
Catch-up bookkeeping brings overdue records up to date. Work may include organizing transactions, categorizing income and expenses, reconciling accounts, and reviewing available documents to identify gaps in the records.
How far back can you catch up my books?
The period depends on your records and the work required. Share which months or years are behind, along with the documents you have, so the scope can be assessed before work begins.
What documents should I prepare?
Gather bank and credit card statements, sales and expense records, invoices, receipts, and access to your bookkeeping software if applicable. The exact documents needed depend on your accounts and how your business operates.
Can you work with my accountant?
Organized, reconciled books can make it easier to share information with your accountant. Let the bookkeeping service know what records or reporting your accountant needs so the completed work can support that handoff.
What if some records are missing?
Start with the documents you do have. Missing statements or receipts can be identified during the review, and you may be able to request copies from your bank, card provider, vendors, or bookkeeping software.
Careful Work, Clear Records
A structured catch-up process helps you understand what is complete, what needs follow-up, and how to keep records current.
01
Methodical Review
We work through the agreed period systematically and flag gaps that need your input.
02
Reconciled Accounts
Compare bookkeeping entries with statements to help clarify balances and spot discrepancies.
03
Practical Next Steps
Finish with organized records and a clearer process for ongoing bookkeeping.
Catch-Up Bookkeeping Services
Bring overdue records up to date with careful transaction review, reconciliations, and organized financial reports.
Backlog Bookkeeping
Bring months of unfinished bookkeeping into an organized, current state.
Account Reconciliation
Match recorded activity to statements and identify discrepancies.
Record Organization
Sort receipts and statements to support accurate bookkeeping.
Monthly Bookkeeping
Keep records current after the catch-up work is complete.
Ready to get your books current?
Tell us what period needs attention and what records you have. We’ll discuss a clear next step.