06.01
DAX Labs / Catalog / Finance / Bookkeeping & reconciliation
Full service

Bookkeeping & reconciliation

Books kept, accounts reconciled, month-end closed.

Flat
Project scope
Owned
Working files
Direct
Delivery
What you get

We keep your books clean, reconcile every account, and close the month on time.

PriceQuoted
Usually done in · 3 days
  • Transactions categorized and coded
  • Bank and card reconciliation
  • Month-end close and adjustments
  • P&L and balance sheet delivered
Delivery architecture

What the engagement protects.

The medium changes. These working guarantees do not.

01 / Owned

Owned

Source files, working assets and handover notes leave with you.

02 / Verified

Verified

The agreed output is checked in its real delivery context.

03 / Direct

Direct

No subcontractor chain between the brief and the build.

04 / Scoped

Scoped

The outcome, exclusions and price are visible before production.

Build sequence

Four visible moves.

Signal

Define the audience, input, output, deadline and real constraint.

Scope

Agree the smallest useful deliverable, exclusions and one flat number.

Produce

Build, show working progress and revise against the agreed outcome.

Transfer

Verify the final result, deliver the files and document the handover.

Linked work / live demo

Proof, not promises:
Finance Desk — runway & scenario modeler

A working DAX-built demonstration for this service — open it, click it, judge the craft directly.

Service intake / open

Need
bookkeeping & reconciliation?

Send the specifics and deadline. You’ll get a direct fit check and a flat scope.