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Smart Business Solutions LLC

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Free 30 Min Advanced Integration Consultation

 At Smart Business Solutions, we understand that every company is unique, with specific reporting needs and financial processes. With years of experience supporting hundreds of construction companies at various stages of their journey, we have exceled at creating sophisticated job costing structures to tackle the most complex reporting needs. Partner with us to enhance your financial insights, streamline reporting, and support your business’s growth with customized solutions designed just for you. 

30 Min Consult

Construction Consulting Services

Streamline Your Financial Processes with Our Custom Financial Solutions! See details below

 We have developed a comprehensive set of tailored financial procedures designed to automate and enhance your reporting in QuickBooks Online (QBO). Our solutions cover a wide range of critical tasks, including seamless integration of Work-in-Progress (WIP) reports, proper registration of advanced deposits for accurate revenue recognition, tracking bulk purchases for inventory management, and much more. Empower your team with efficient, reliable, and accurate financial workflows that save time and reduce errors. Partner with us to transform your financial operations and gain greater control over your business finances! 

Monthly Financial Project Reports Review

 Our expert review service provides in-depth analysis of your monthly financial project reports, ensuring accuracy and consistency from your intersystem workflow and the reports created from your project workflows. Stay ahead of potential issues,  Trust us to streamline your financial review process, enhance reporting quality, and support your project's success — every month! 

Expert Construction Accounting and Project Management Integration

 Our team of highly skilled and experienced professionals specializes in construction accounting and project management systems. We uniquely combine these systems using a custom-designed cost coding structure and tailored procedures to deliver the most detailed and comprehensive financial reporting you’ve been searching for—something other systems often can’t provide. Trust us to optimize your accounting and project management processes for greater accuracy, transparency, and success. 

New to QuickBooks or Facing Setup Challenges?

 If you're new to QuickBooks or struggling with setting up your accounting system, we're here to help! We specialize in configuring your Chart of Accounts to ensure you have the right accounts for accurate cost coding and financial tracking. Let us assist you with a smooth and efficient setup process, so you can focus on growing your business with confidence. Reach out today for expert support and personalized setup solutions! 

Contact Us

We would love to hear from you! Contact us today to discuss your construction management needs and learn more about how we can help you achieve your goals.

New Advanced Financial Procedures For QuickBooks

Custom Quote For Assisted Multiple Procedures Setup and Cost Codes Mapping

This is a questionnaire for your company to fill out to help us determine which procedures your company will need setup and assistance with advanced cost codes structure and personalized system setup and help with mapping your cost codes to QuickBooks

fill out for Quote

Deposits/Advanced Payments Procedure

  

Overview Summary

The document describes a detailed procedure for managing advanced payments  (customer deposits or draws) within construction projects using QuickBooks and Contractor Foreman (CF). The primary objective is to avoid recognizing upfront payments as immediate income, which can lead to premature tax      liabilities. By treating advance payments as a liability initially and      systematically applying them to invoices as the project progresses,      contractors can accurately reflect income and expenses, ensuring      compliance and sound financial management.

Bulk Materials Purchases Procedure

Bulk Materials Purchases Procedure

  

Overview Summary

This procedure details the process of purchasing bulk raw materials and applying them to specific projects within Contractor Foreman (CF) and QuickBooks Online (QBO). It involves setting up generic projects and specific accounts to track inventory and its usage. The main goal is to properly account for bulk material purchases, track their application to individual projects, and maintain accurate financial records.

Employee Reimbursements

Bulk Materials Purchases Procedure

 

  

Overview

 While allowing your employees to enter their reimbursable expense receipts into Contractor Foreman through their (CF) app to accurately track project and non-project related costs; it is also simultaneously recording reimbursable employee expenses in QuickBooks to apply to payroll later. Moreover, maintaining clean and accurate financial records in both Contractor Foreman and QuickBooks Online.

Field Expenses Procedure

Net Term Supplier Account Procedure

  

Overview

This workflow safely delegates the responsibility of entering project-related expenses into Contractor Foreman to those making the purchases in the field while safeguarding QuickBooks integrity. By using the Contractor Foreman app already downloaded for time tracking, it is easy to apply an additional step of also using the app to capture receipts into Contractor Foreman. This process will cause both the expense and the receipt image to transfer to QuickBooks and match the bank transactions; saving the accounting team hours tracking down receipts and ensuring project related expenses apply to projects accurately and promptly.

Net Term Supplier Account Procedure

Net Term Supplier Account Procedure

  

Overview

Establish a reliable and systematic approach for handling supplier accounts that operate with net terms. This ensures that all vendor transactions are accurately tracked through Contractor Foreman and allocated to the correct projects or back stock, from payment initiation to the allocation of vendor credits and the reconciliation of paid bills. Reviewing and reconciling balances between CF and QBO helps ensure that transactions are accurately matched to the appropriate customer or project, reducing the likelihood of errors or misallocation.


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