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I will setup and sync xero, open dental and hubdoc for dental practices
About this Gig
Are you a dental practice looking for a reliable bookkeeping setup using Xero, Open Dental, and Hubdoc?
I will set up and organize your dental bookkeeping workflow to help keep your financial records accurate, organized, and easy to manage.
My services include:
- Xero bookkeeping setup
- Open Dental financial workflow setup
- Hubdoc setup and document organization
- Chart of accounts setup
- Bank and credit card reconciliation
- Transaction categorization
- Dental income and expense tracking
- Receipt and invoice organization
- Bookkeeping cleanup
- Catch-up bookkeeping
I understand that dental practices deal with patient payments, insurance collections, dental supplies, laboratory expenses, payroll, merchant fees, equipment purchases, and other practice-specific transactions. I can help organize these activities within your bookkeeping workflow and keep your records properly categorized and reconciled.
Whether you need a new setup, cleanup, catch-up bookkeeping, reconciliation, or an organized monthly workflow, I can help.
Message me before ordering if you have a specific Xero, Open Dental, or Hubdoc requirement.
Financial software:
QuickBooks
•
Xero
•
Microsoft Dynamics 365
Industry:
Medical & pharmaceutical
•
Sports & fitness
•
Wellness
Target country:
Other
Gigs are not screened
Please note that there is no screening process for this service. We recommend that you message the freelancer and check all necessary details before placing your order. Read more about Financial services at Fiverr.
FAQ
Can you work with a multi-provider dental practice?
Yes. I can help organize bookkeeping workflows for single-provider and multi-provider dental practices. Larger or multi-location practices may require a customized quote.
Do you offer catch-up bookkeeping?
Yes. Catch-up bookkeeping can be included depending on the number of months and transactions involved.
Do you provide bookkeeping cleanup?
Yes. I can review and organize historical bookkeeping records, categorize transactions, identify reconciliation issues, and help bring the books up to date.
