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Harley Finance Solutions
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    • Home
    • About Us
      • Meet Our Experts
    • Services
      • Services
      • Client Packages
    • Book Consultation
    • Resources
Harley Finance Solutions
  • Home
  • About Us
    • Meet Our Experts
  • Services
    • Services
    • Client Packages
  • Book Consultation
  • Resources

Services

Business Accounting & Financial Management

We provide comprehensive support to ensure your financial records are accurate and up-to-date. From managing day-to-day bookkeeping to preparing detailed financial statements, we help you confidently make informed decisions. Our payroll services ensure your employees are paid on time, accurately, and in compliance with regulations—so you can focus on growing your business. 

Tax Planning & Compliance

Navigating taxes doesn’t have to be stressful. We specialize in individual, high wage earners, and small business tax preparation, ensuring you maximize deductions while staying IRS compliant. From quarterly and annual tax payments to 1099 preparation, we take care of the details, so you’re always ahead of deadlines and free to focus on your business goals. 

Audit Preparation & Advisory

 Preparing for an audit can be overwhelming, but we make the process seamless. Our expertise in annual audit preparation helps nonprofits and government entities easily meet regulatory requirements. We provide detailed documentation and advisory services to ensure your organization is audit-ready, giving you peace of mind and confidence in your audit results and compliance outcome. 

Grant Management

We manage aspects of weekly drawdown of funds from the Federal grant payment system (ASAP.gov) to support Program activities. We prepare  Form SF424 and SF425, understand requirements for supporting documentation, and other forms for monthly cash advances/reimbursements. Here is how we can help you manage your federal grant funds:

  • Performs accounts receivable functions and cash requirements to ensure sufficient cash to meet program outlays. Prepares timely and accurate bank reconciliations for bank accounts.
  • Prepares monthly life-to-date report.  Compiles and analyzes financial
  • information deemed necessary for internal management, staff, and external end users. 
  • Prepares monthly, quarterly, and annual reports required under the national agreements (i.e. master or umbrella) and subsequent task agreements by required deadlines.  Prepares general ledger journal entries as needed. Ensures accuracy and correct reporting to each grant agreement.


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