What services are included in City Wide's standard monthly accounting full services package?
City_Wide Franchise · 2025 FDDAnswer from 2025 FDD Document
written consent of City Wide, which may be granted or denied.
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- Entire Agreement. This Agreement contains the Parties' entire agreement with respect to the subject matter included and supersedes all prior understandings, both oral and written. This Agreement may not be amended or modified except with the written consent of an authorized representative of both Parties.
The Parties hereby acknowledge and agree to all the terms hereinabove and have executed and delivered this Agreement on the day and year first written above.
CITY WIDE: CITY WIDE FRANCHISE COMPANY, INC. ENTITY NAME d/b/a City Wide Facility Solutions – Territory
EXHIBIT "A" Accounting Services and Fees
Pricing: Subject to changed based upon revenue and business growth needs, as agreed to by the Parties. *
| Standard Monthly Accounting Full Services Package | $1,500 | |
|---|---|---|
| Perform Bank Reconciliation | x | |
| Perform Balance Sheet Reconciliations | x | |
| Bill | x | |
| Contracts | ||
| Bill | x | |
| Extra | ||
| Charges | ||
| Bill | x | |
| Supply | ||
| Items | ||
| Close | x | |
| Monthly | ||
| Financials | ||
| Processing AP | x | |
| Checks | ||
| Processing | x | |
| IC | ||
| Paychecks | ||
| Generate Monthly | x | |
| Commission | ||
| Reports | ||
| Create | x | |
| New | ||
| Supply Items | ||
| Perform Credit Card Reconciliations | x | |
| Process End of Year CPA Entries | x | |
| Post Accounts | x | |
| Payable Invoices | ||
| Process Cash Receipts | x | |
| x | ||
| Process Credit | ||
| Card | ||
| Transactions |
Source: Item 22 — CONTRACTS (FDD page 65)
What This Means (2025 FDD)
According to City Wide's 2025 Franchise Disclosure Document, the standard monthly accounting full services package costs $1,500 and includes several accounting and financial services. These services are designed to assist franchisees in managing their finances and ensuring accurate financial reporting.
The services provided in the package include performing bank reconciliations, balance sheet reconciliations, processing accounts payable invoices, processing cash receipts, and performing credit card reconciliations. Additionally, the package covers processing end-of-year CPA entries, posting accounts payable invoices, posting manual checks, and providing general liability/work comp audit assistance.
Furthermore, the standard package assists with generating monthly commission reports and creating new supply items. It also includes administrating new customer and vendor management within BC (Business Central), sending customer statements (including finance charges if applicable), uploading invoices to customer portals, providing sales tax reporting, and offering forecasting/budgeting assistance. The package also involves performing periodic business/financial reviews with the owner. These services collectively aim to provide comprehensive accounting support to City Wide franchisees, helping them maintain accurate financial records and make informed business decisions.