d
darengarcie

daren garcie

@darengarcie

Reliable Books Strategic Tax Solutions with Complete Financial Clarity

United Kingdom
English, Spanish, German
About me
Hello there, I am Daren Garcie, Your reliable Bookkeeping and tax prepare. I transform raw financial data into audit ready, tax optimized clarity. From meticulous bookkeeping to year end closing, I build clean ledgers, structured charts of accounts, and accurate trial balances that stand up to scrutiny. I track income streams, classify expenses for maximum deductions, and reconcile every account with discipline. Whether it's revenue recognition, COGS, or cash flow tracking, I ensure your numbers don’t just balance they work for you. Reach out to me to get started, BEST REGARDS.... Read more

Skills

d
darengarcie
daren garcie
Offline • 
Average response time: 1 hour

See my services

Bookkeeping
I will do tax ready bookkeeping, year end, adjusting entries and prepare trial balance
Bookkeeping
I will do income tracking bookkeeping, 1099 income, revenue and capital gains reporting

Work experience

Freelancer.com

Rescuing Disorganized Books into Tax-Ready Financials with Accurate Income Tracking & Expense Optimization

Freelancer.com • Freelance

Sep 2018 - Present7 yrs 8 mos

A client approached me with severely disorganized records, uncategorized expenses, missing income entries, and unreconciled bank and credit card accounts, just weeks before tax filing. Their general ledger and trial balance were unreliable, putting them at risk of overpaying taxes and filing inaccurately. I performed a full clean up by restructuring the chart of accounts, completing tax-ready bookkeeping, and posting adjusting entries to correct discrepancies. I accurately tracked all income streams, including 1099 income, passive income, and capital gains, while aligning revenue recognition with accrual standards. On the expense side, I reclassified transactions, identified overlooked deductions, and properly allocated business expenses, including COGS. I finalized year-end bookkeeping with a clean trial balance and reconciled all accounts, ensuring complete financial clarity. The result: audit-ready books, optimized tax deductions, improved cash flow visibility, and significant tax savings for the client.