Our Services

At Lunde Accounting Group, we provide monthly accounting support to keep your business and personal financial operations organized, accurate, and reliable. We serve small and medium-sized businesses, high-net-worth individuals, and family offices who need ongoing financial clarity.

Our services include reconciliations, financial statements, performance metrics, cash flow, and budgets — delivering accurate reporting and clear insights you can trust.

With 15+ years of accounting and finance experience, we are committed to timely, dependable results that support confident decision-making.

Accounting & Financial Advisory

We help you understand your numbers with accounting support for businesses, high-net-worth individuals, and family offices seeking clear, organized financial visibility.

  • Financial Statement Preparation & Reporting – GAAP-based balance sheets, income statements, and cash flow statements tailored to your business.

  • Cash Flow Management & Budget Forecasting – Tracking and projecting cash to ensure liquidity and support planning for future growth.

  • Performance Tracking & Business Insights – Key performance metrics and tailored reporting to help you measure progress and stay aligned with your goals.

Monthly Close and Accounting Support

We keep your books accurate and organized through consistent monthly accounting support for businesses, high-net-worth individuals, and family offices.

  • Bank & Balance Sheet Reconciliations + Month-End Close – Timely reconciliations and accurate monthly financial statements you can rely on.

  • Accounting Cleanup & Financial Organization – Correcting and organizing past records to establish a clear, reliable foundation moving forward.

  • Ongoing Monthly Support – Consistent monthly accounting tailored to your needs, with optional coordination for AP, AR, or payroll when needed.

Additional Services

When specialized needs arise, we offer services that complement our monthly accounting support.

  • Audit, Due Diligence & Litigation Support – Assistance with financial assessments, compliance reviews, transaction-related analysis, and support with financial documentation or potential irregularities.

  • Financial Clarity for Special Situations –Support for situations that require organized, accurate financial records, including disputes, transactions, or questions around financial inconsistencies.

  • 1099 & W-2 Preparation – Partnering with tax professionals to ensure smooth, accurate year-end reporting, including 1099 and W-2 coordination.

Contact us

Looking for monthly accounting support? We provide reconciliations, financial statements, performance metrics, cash flow, and budgets. Fill out the form and we will be in touch shortly.