

Latte prepares and delivers to management, the Board of Directors, and/or Shareholders a financial reporting package comprised of a Balance Sheet; Statement of Operations; Statement of Cash Flows; Key Performance Indicators; and details of the balances in the major Balance Sheet, Revenue, and Expense accounts. Actual financial results are always compared to budgets and forecasts; variances are analyzed, interpreted, and communicated.
Other accounting processes typically outsourced to The Latte Group include:
Cash Management
Accounts Receivable
Accounts Payable
General Ledger Management

800 Roosevelt Road
Building C, Suite 204
Glen Ellyn, Illinois
60190
Mike Krueger, CEO & Founder
phone 630.858.8414, x203
fax 630.858.8584
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