About Able Accounting & Consulting
At Able Accounting, we are dedicated to providing top-notch bookkeeping services to individuals and businesses. Our team of experienced professionals is committed to giving you a clear and accurate picture of your financial situation. With our expertise, you can operate your finances with ease and maximize your profits. Whether you need help with tax filing or require comprehensive financial assessments for your business, we have you covered. Our reports are concise, easy to understand, and provide actionable insights. Start a valuable partnership with us today and experience the difference of working with Able Accounting.
About Us
At Able Accounting and Consulting Services, we have extensive experience in performing Accounts Receivable and Accounts Payable functions, creating and analyzing financial statements and reports. Our team is dedicated to creating and adjusting processes to ensure maximum efficiency, resulting in faster payments for our clients. Our primary focus is to keep our clients satisfied by providing top-notch accounting services with accurate data input, prompt billing, and timely collection from their customers.
Nessa Abraham
Experience
Controller – 2012 to Present
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Analyze and issue Financial Statements
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Manage all accounting operations (Accounts Payable, Accounts Receivable, Payroll, etc.)
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Establish, monitor and enforce policies, procedures and internal controls
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Month-end and year-end processing
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Assistant Controller – 1999 to 2011
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Bank reconciliations
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Bank Deposits
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Performed Accounts Payable, Accounts Receivable and Payroll functions
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Collected over $20,000 past due receivables within one month
Jackie Lester
Experience
Controller, 2017 to Present
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Prepare monthly financial statements for multiple companies
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Annual forecasting/budgeting
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Oversee accounts payables and receivables and all other accounting functions
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Payroll and HR administration
Accounting Assistant/Accounting Manager, 1992 to 2016
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Creation of chart of accounts and all accounting processes for new enterprise
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Remit all sales and payroll taxes; prepare T4s
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Account reconciliations
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Bank deposits and cash flow maintenance
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