About Us

My passion is helping Cannabis Dispensary Owners reclaim their time, organize their financial records, and better understand their numbers through professional bookkeeping and monthly reconciliation—so they can spend less time working on their books and more time serving customers, managing operations, maintaining compliance, growing their dispensary, and increasing profitability.

Sabram Bookkeeping is located in Lomita, California, just outside of Los Angeles in the South Bay area. As a Certified QuickBooks Online ProAdvisor, I am able to assist Cannabis Dispensary Owners throughout California with professional, virtual bookkeeping services tailored to the unique financial needs of their business.

I bring specialized training and up-to-date expertise in QuickBooks Online, allowing me to streamline your bookkeeping using industry best practices, automation, and efficient workflows. My certification reflects my commitment to ongoing education and staying current with the latest QuickBooks features and enhancements—so your dispensary can benefit from accurate records, efficient processes, and reliable financial information.

For cannabis dispensary owners, this means having a bookkeeping partner who understands the importance of keeping POS sales, cash activity, inventory, Cost of Goods Sold, operating expenses, and supporting financial records organized and reconciled throughout the year. My goal is to provide you with greater financial clarity, cleaner books, and tax-ready records so your cannabis CPA has the information needed for tax preparation and planning.

SCHEDULE A FREE 15 MINUTE PHONE CONSULTATION

Let's talk about how profitable and affordable it is to have a CPA handle your monthly bookkeeping and taxes. Click on the button below to select a day and time that works for you and you will be immediately scheduled in my calendar!

Services

Sabram Cannabis Bookkeeping Package is Designed for Ongoing Financial Control

Sabram Bookkeeping provides ongoing bookkeeping and reconciliation services designed to keep your financial records organized, accurate, and ready for review throughout the year.

Our services focus on the areas that matter most to dispensary owners:

POS • Cash • Inventory • COGS • Expenses • Reconciliation • Financial Reporting • Tax-Ready Records

Monthly Bookkeeping Services May Include:

  1. POS & Sales Reconciliation

We reconcile your dispensary sales activity to your accounting records by reviewing POS sales reports, reconciling gross sales, discounts, returns, and net sales, comparing recorded sales to bank deposits, and identifying any discrepancies.

  1. Cash Deposits – Withdrawals & Credit Card Reconciliation

Each month, we help track cash sales, compare cash collected to recorded sales, reconcile deposits to bookkeeping records, identify unexplained differences, and maintain organized cash-reconciliation documentation. We also provide bank and credit card reconciliations and review outstanding transactions.

  1. Inventory & COGS Bookkeeping Support

We maintain organized financial records for your inventory and Cost of Goods Sold by recording purchases, tracking inventory-related transactions, reconciling activity with sales and accounting records, maintaining COGS data, and organizing vendor invoices.

  1. Operating Expense Categorization

Throughout the month, we organize and categorize all business expenses, including rent, utilities, payroll, professional services, insurance, security, software, marketing, and general operating costs.

  1. POS & Sales Reconciliation

We reconcile your dispensary sales activity to your accounting records by reviewing POS reports, tracking gross sales through net sales, comparing recorded revenue to bank deposits, and ensuring your books reflect accurate sales data.

  1. Vendor & Accounts Payable Recordkeeping

We keep your vendor accounts organized by recording purchases, tracking payments, organizing invoices, reviewing outstanding balances, and maintaining complete supporting documentation.

  1. Monthly Financial Reports

At the end of each month, we prepare clear financial reports to help you evaluate your business's performance. Standard reporting packages include Profit & Loss statements, Balance Sheets, Cash Flow summaries, detailed sales and expense breakdowns, COGS analyses, and overall trend reviews.

  1. Tax-Ready Financial Records

We organize and maintain the clean financial records your cannabis CPA needs for efficient tax planning and preparation. This includes comprehensive documentation for sales, cash activity, inventory, Cost of Goods Sold, operating expenses, vendor records, bank reconciliations, and monthly financial reports.

Contact Us For More Information