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Fuel Industry Accountant in Colorado

Gas Station Accountant in Colorado

FuelCFO is the Fuel Industry Accountant in Colorado for Colorado gas station and convenience store owners - daily reconciliation, every revenue stream separated, and CO fuel & sales tax handled right.

  • 22¢/galCO motor fuel tax (gasoline)
  • 4.4%CO flat income tax
  • 7.89%CO avg combined sales tax
  • 20.5¢/galCO motor fuel tax (diesel)

Works with your POS, back-office & accounting stack

Gilbarco Verifone CStoreOffice PDI SSCS Petrosoft QuickBooks Xero Sage Intacct

Looking for a Gas Station Accountant in Colorado who actually understands fuel retail? FuelCFO is a Fuel Industry Accountant in Colorado that does gas stations and convenience stores all day - Colorado's home-rule cities each set and collect their own sales tax independently of the state - which means a station owner with sites in Denver, Fort Collins, and Colorado Springs could be filing three different local returns on three different schedules, on top of the state's flat 4.4% income tax and a 22¢/gallon motor fuel tax on gasoline (20.5¢ on diesel). That's exactly the gap a gas station accounting firm built for Colorado fills. Accounting for gas stations and convenience stores here means daily POS reconciliation, per-grade fuel cost of goods sold, and jobber statement matching against a patchwork of home-rule filing requirements most generalist bookkeepers have never dealt with. Whether you run one station along the Front Range or a multi-unit group spanning Denver, Greeley, Fort Collins, Colorado Springs, and Grand Junction, outsourced accounting for your gas station should already know which of your cities file their own way - not figure it out after a missed deadline. From gas station bookkeeping in Colorado to fuel and sales tax, we run the whole back office.

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FinTruction · Construction Clients

Proof from our construction brand

Real US-based contractors. Same team, same operational discipline that we now bring to gas stations. Construction is a different vertical - but the muscle (multi-stream books, cost reconciliation, niche specialization) is the same one stations need.

"They didn't just record transactions and call it a day. They built a custom chart of accounts around how a remodeling company actually runs, did a full catch-up on years of bookkeeping inside QuickBooks Online, and now stay on top of my monthly bookkeeping and payroll."

Oniel Campbell Oniel Campbell
Founder, Moonz Contracting

"Sahil and his team have been handling the bookkeeping and job costing for my painting business. They've done a great job cleaning up my books, using integrations to give me accurate, timely job costing and solid weekly data. Reliable, and the team is very detailed."

Dalton Mayberry Dalton Mayberry
Owner, ProperCoat Painting
Carl Moore

"They rebuilt the whole thing from the ground up, with real job costing, WIP, and retainage."

Carl Moore

Owner, Hearth & Haus

"They set the accounts up properly first, then cleaned up everything I never entered."

Rolian Rolian
Owner, Overtime Electric

"When I came to them I had no financial structure in place at all. No job costing, no WIP tracking, books were behind, no real way to tell if any job was actually making money. They came in, did a full cleanup, and set up job costing and WIP tracking inside QuickBooks."

Clay Pearson Clay Pearson
Owner, C. Pearson Contracting Corp

Daily books

Gas Station Bookkeeping in Colorado

Clean books start with daily work. Our gas station bookkeeping in Colorado reconciles POS to bank across cash, credit, debit, and fleet cards every day, matches fuel to your jobber statements, and keeps every transaction categorized - so you're never looking at numbers that are 30 days old.

We work directly in your QuickBooks, Xero, or Sage file from your CStoreOffice, PDI, SSCS, or Petrosoft exports - no migration, no on-site visit, just accurate CO-compliant books and an on-time monthly close.

Every revenue stream gets its own line - fuel, merchandise, car wash, lottery, ATM, and whatever else runs through your registers - so nothing gets blended into a single number you can't act on. You get a one-page owner report every month, plus Accountant-ready financials your outside accountant or tax preparer can use at filing time without asking you to explain your own books first.

22¢/galCO motor fuel tax (gasoline)
4.4%CO flat income tax
7.89%CO avg combined sales tax
20.5¢/galCO motor fuel tax (diesel)

The store side

C-Store Accountant in Colorado

As your C-Store Accountant in Colorado, we handle the store side most fuel accountants ignore - category-level merchandise margins, foodservice and deli cost, multi-category sales tax, and lottery, ATM, and money-order activity.

  • Colorado's individual income tax is a flat 4.4% for 2026, which simplifies the rate side of entity planning even as local sales tax stays complicated.
  • Colorado's state motor fuel tax runs 22¢/gallon on gasoline and 20.5¢/gallon on diesel - numbers that feed straight into monthly accounting for gas stations' per-grade fuel COGS.
  • Colorado's state sales tax base is just 2.9%, but home-rule cities and counties add their own rates independently, pushing the average combined rate to about 7.89% - one of the most fragmented local sales tax systems in the country.
  • Home-rule cities in Colorado set their own sales tax rules and filing deadlines separate from the state, so gas station financial statements for a multi-city operator have to reflect each location's specific requirement, not one statewide process.
  • Underground storage tank (UST) fees and environmental compliance recordkeeping apply to every Colorado station regardless of size, layered on top of state and home-rule local sales tax filings.
  • Multi-site Colorado operators along the Front Range need store-level P&Ls that still consolidate cleanly, since home-rule local sales tax rates and filing schedules can differ meaningfully from one city to the next.

What we handle in Colorado

Every accounting service we provide for Colorado owners

21 services across fuel, store, tax, and multi-site operations - so nothing about your station runs on guesswork.

Fuel Operations 5 services

Wet Stock Variance Accountant Colorado

Match what's in your tanks to what your books say - every day. Catch fuel shrinkage and loss before it bleeds into your margins. Our outsourced gas station accounting team handles wet stock reconciliation so you can focus on running the business.

  • Daily / periodic book vs. physical reconciliation by grade
  • Shrinkage & loss tracking with monthly variance reports
  • Grade-by-grade fuel COGS calculation (regular / mid / premium / diesel)
  • Temperature-compensated volume tracking where applicable
  • Water bottom and calibration adjustment monitoring
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Fuel vs. Merchandise Margin Separation

Stop running on one blended P&L. See exactly what you make on fuel - and what you make on the store. Most gas station owners are shocked when they see the real cents per gallon margin next to merchandise margin.

  • Separate P&L for fuel and merchandise (department-level)
  • Allocation of shared costs (utilities, labor, rent) by reasonable basis
  • Fuel CPG (cents per gallon) margin tracked vs. branded supply terms
  • Merchandise margin by sub-category (tobacco, beverage, snacks, food, other)
  • Monthly side-by-side comparison and trend tracking
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POS / Daily Sales Reconciliation

Reconcile your back-office system to your bank deposits every day, across cash, credit, debit, and fleet cards. Our gas station POS reconciliation catches shortages early - before a week of losses becomes a month of losses.

  • Daily POS / back-office to bank reconciliation across all tender types
  • Cash, credit, debit, fleet card, lottery, ATM, money order - separately
  • Shortage flagging by shift / by day with variance threshold
  • Credit-card batch settlement matching
  • Discrepancy investigation & resolution log
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Jobber Statement Reconciliation Colorado

Reconcile every fuel delivery to your jobber statement. Catch missing branded fuel supply credits, fleet card rebates, and pricing mismatches. Our jobber statement audit service recovers money most gas station owners never knew they were losing.

  • Line-by-line reconciliation of every fuel delivery to the jobber statement
  • Pricing tie-out to your supply contract (DTW, rack, freight, taxes)
  • Branded-supply credit & rebate tracking (BP, Shell, Exxon, Chevron, Mobil, Valero, Marathon, 7-Eleven, etc.)
  • Fleet card program rebate tracking (WEX, Comdata, Voyager)
  • Volume incentive monitoring against contract thresholds
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Multi-Stream Revenue Tracking

Track fuel, merchandise, car wash, food service, lottery, fleet, repair bays - separately. Unified financials with category visibility. This is gas station financial management built for c-store operators who run more than just pumps.

  • Separate tracking for: fuel, merchandise, car wash, food service, lottery, ATM, fleet, repair bays
  • Per-stream P&L with stream-specific COGS and margin
  • Cost allocation rules for shared expenses (labor, utilities, rent)
  • Stream-level KPIs (margin %, $/sqft, sales-per-gallon, etc.)
  • Monthly stream comparison and trend tracking
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Store & Merchandise 9 services

Car Wash Accounting

Track per-wash profitability, car wash membership revenue, water and utility cost allocation, equipment depreciation. Our car wash accounting service gives gas station owners the real numbers on whether the wash bay is an asset or a liability.

  • Subscription / membership revenue recognition (deferred revenue accounting)
  • Utility cost allocation (water, sewer, electricity) to the wash bay
  • Per-wash profitability tracking (volume, price, variable cost)
  • Equipment depreciation schedules with replacement-cycle tracking
  • Tunnel vs. in-bay automatic separation if you run both
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Lottery, ATM & Money Order Accounting

Reconcile lottery sales & commissions, ATM cash & fees, money order liability. Our lottery accounting and ATM income tracking service gets the cash-intensive activity right - so your books and your compliance file are both clean.

  • Lottery sales tracking (state liability) + commission revenue (yours)
  • Lottery winner payouts & commission reconciliation
  • ATM cash management + fee revenue tracking
  • Money order / check-cashing liability accounting
  • BSA/AML-aware transaction documentation where MSB activity applies
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Vendor / DSD Reconciliation

Reconcile direct-store-delivery vendors, scan data rebates, and incentives. Catch overcharges and missed tobacco rebates every month. Our DSD vendor reconciliation service covers Altria Reynolds rebates, scan data programs, and beverage vendor accounting for c-store operators.

  • Monthly reconciliation of every DSD vendor (beverage, tobacco, snack, dairy, ice cream)
  • Scan-data agreement tracking (Altria, Reynolds, ITG, etc.)
  • Promotional rebate & slotting fee tracking
  • Short / damaged / expired product credit verification
  • Vendor invoice to receiver reconciliation
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Prepared Food & Deli Accounting

Track deli food cost, waste & spoilage, prepared food margin, and deli inventory. Real prepared food accounting with food economics, not guesses. Built for c-store operators running fresh food programs.

  • Food cost % calculation by sub-category (deli, hot food, coffee, bakery)
  • Waste / spoilage / shrinkage tracking
  • Prepared-food margin separation from packaged-food
  • Deli ingredient inventory tracking
  • Food-service labor allocation
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Food Service Franchise Fee Accounting

Track franchise & royalty fees for in-store QSR brands (Subway, Dunkin, etc.). Our franchise fee accounting ensures clean franchise reporting and per-unit P&L for c-store operators running branded food inside their stations.

  • Royalty & franchise fee calculation per franchise agreement
  • Marketing / advertising fund contribution tracking
  • Franchise weekly & monthly reporting to the franchisor
  • Per-unit P&L (Subway / Dunkin / DQ etc. broken out from the rest of the store)
  • Franchise renewal & transfer fee tracking
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Convenience Store Bookkeeper in Colorado

Merchandise margin analysis by category (tobacco, beverages, snacks, candy, packaged food). Find what's pulling weight in your c-store. Our c-store category margin analysis turns blended averages into actionable category-level intelligence.

  • Margin % by category (tobacco, beer, soda, water, snacks, candy, packaged food, automotive, HBA, etc.)
  • Inventory turns & dead-stock identification by category
  • Promotional revenue and rebate attribution to category
  • Category sales-per-square-foot benchmarks
  • Sub-category drill-down (e.g., tobacco → cigarettes / smokeless / vape / cigars)
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Gift Card & Voucher Accounting

Gift card liability accounting, breakage revenue, voucher redemption tracking. Don't book gift cards as revenue on day one. Our gift card liability accounting keeps your balance sheet clean and your tax reporting accurate.

  • Gift card liability ledger maintenance
  • Redemption tracking against original sale
  • Breakage revenue recognition under ASC 606 (when statistically appropriate)
  • Voucher program accounting (employee, fleet, promotional)
  • Branded fuel gift card reconciliation against issuer
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Store Inventory & Shrinkage

Store-side inventory reconciliation with store shrinkage tracking built in. Catch theft, miscounts, and vendor short-ships before they cost you a month. Our c-store inventory management service measures shrinkage by category, by store, every month.

  • Monthly store inventory reconciliation by category
  • Shrinkage % calculated per category vs. industry benchmarks
  • Scan-data tie-out with vendor invoices
  • Variance flagging when shrink crosses a threshold
  • Theft / miscount / vendor short-ship attribution where possible
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SNAP/EBT Income & ATM Reconciliation

EBT settlements and ATM surcharge income tracked, reconciled, and recorded correctly - including USDA SNAP retailer compliance hygiene. Our ATM income tracking and convenience store accounting ensure every cash-intensive stream is clean and audit-ready.

  • EBT settlement reconciliation against POS EBT sales (daily / periodic)
  • ATM cash load vs. cash dispensed vs. surcharge income reconciliation
  • SNAP retailer recordkeeping hygiene (audit-ready)
  • Separate revenue tracking for SNAP, ATM surcharge, money order, check cashing
  • Coordination with BSA/AML-aware bookkeeping for cash-intensive activity
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What You Get With FuelCFO
That Generic Bookkeepers Don't

Built to keep your fuel and store numbers under control as you grow

A Free Books Review, Before You Commit See what's working, what's missing, and where margin is leaking - before you decide anything.
Fuel & C-Store Bookkeeping, Not Generic Accounting Built for wet stock, jobber statements, and multi-stream revenue - not retail or service businesses.
Numbers That Actually Answer Questions Know which revenue stream is actually profitable, which one is draining cash, and why.
Clean, Accountant-Ready Reports Every Month Your accountant gets clean books when they ask - not excuses.
A Team That Understands How Fuel Retail Really Works Wet stock variance, jobber credits, and multi-category tax - your books are built to handle it.

About FuelCFO

Your Petroleum Accountant Colorado

FuelCFO is a petroleum accountant Colorado by focus, not by accident. We don't also do restaurants and law firms - we do fuel retail and convenience stores, every day, which is how we know wet stock variance, jobber credits, prepaid fuel tax, and per-grade COGS cold.

That focus means Colorado owners get an accountant who already speaks their language: Gilbarco and Verifone, CStoreOffice and PDI, WEX and Comdata, fuel excise and multi-category sales tax. No ramp-up, no explaining your business - just clean books and clear numbers from month one.

We work remotely with station owners nationwide - one location or fifty, branded or unbranded - so Colorado owners get the same dedicated team every month, not a rotating pool of generalist bookkeepers. That consistency is what lets us catch a shrinking fuel margin or a missed jobber credit before it costs you real money, instead of finding it months later at tax time.

The Colorado market

What it takes to keep Colorado station books clean

Denver, Greeley, Fort Collins, Colorado Springs, and Grand Junction gas stations and convenience stores share the same retail fundamentals: a 22¢/gallon motor fuel tax, a flat 4.4% income tax, and a fragmented local sales tax landscape where the state's 2.9% base climbs to an average combined 7.89% through home-rule cities that administer their own tax separately. Fuel retail accounting services here mean daily POS-to-bank reconciliation, per-grade fuel COGS, and jobber statement matching against Colorado's patchwork of home-rule rates - work a generalist bookkeeper rarely gets right the first time.

Multi-site owners along I-25 or I-70 need a gas station accounting firm that standardizes reporting across Denver, Greeley, Fort Collins, and Colorado Springs locations, with petroleum retail accounting and gas station back office accounting built for Colorado's home-rule rules specifically, not adapted from a generic small-business template. Jobber-dealers and multi-unit franchisees also need wet stock variance tracking and vendor invoicing for lottery, deli, and tobacco categories handled with the same rigor at every site, whether it's a single Grand Junction store or a multi-unit group spanning the Front Range.

Reports That Actually Help

What a generalist hands over vs. what we hand over.

Same month. Same business. Two completely different month-end packages. One you file away. The other you actually use to run the station.

Generalist Bookkeeper

One blended P&L. A balance sheet. That's the report.

Profit & Loss (blended)✓
Balance Sheet✓
Per-grade fuel margin-
Fuel vs. store P&L-
Category margin (tobacco / beer / food)-
Jobber statement reconciled-
SNAP/EBT & ATM tracked separately-
Shrinkage % by category-

You file the PDF and you're still flying blind.

FuelCFO

An operator's dashboard. Built around how stations actually run.

Profit & Loss (blended)✓
Balance Sheet✓
Per-grade fuel margin✓
Fuel vs. store P&L✓
Category margin (tobacco / beer / food)✓
Jobber statement reconciled✓
SNAP/EBT & ATM tracked separately✓
Shrinkage % by category✓

You open the package and you already know what to do this week.

See a Sample of Your Reports

Looking for the Best Gas Station Accountant in Colorado?

Book a free books review. We'll look at your setup, show you what's missing, and tell you exactly how we'd fix it - no pressure, no obligation.

FAQ

Frequently asked questions

Our fees are scoped to your number of locations, revenue streams, and transaction volume, then billed at a fixed monthly rate - no hourly surprises. Most Colorado single-site owners start with a focused monthly engagement; multi-store operators get a consolidated package. Book a free books review for an exact quote.
A general accountant rarely understands per-grade fuel COGS, wet stock reconciliation, jobber statements, or CO fuel-tax rules. A fuel industry Accountant in Colorado does - which is the difference between a tax-season P&L and books you can actually run the business on.
Yes. We work entirely from your POS / back-office exports and bank feeds, so we deliver gas station bookkeeping in Colorado for owners anywhere in Colorado without ever setting foot on-site.
Yes - as a Multi-Store C-Store Accountant Colorado, we standardize the books across every location and give you a consolidated P&L plus per-store reporting so you can compare sites.
We do gas stations and convenience stores and nothing else. Daily reconciliation, every revenue stream separated, CO fuel and sales tax handled on time, and one-page owner reporting - that focus is why Colorado owners choose us.
Many Colorado cities are 'home-rule,' meaning they set and collect their own sales tax independently of the state rather than through the state's system. The state base is only 2.9%, but the average combined rate reaches about 7.89% once local rates are added, and each home-rule city can have its own filing deadline. Accounting for gas stations and convenience stores here means tracking each location's specific requirement, not one statewide rate.
Yes. That means margin separation, wet stock variance tracking, and home-rule sales tax filing done city by city, then rolled up into one consolidated P&L so you can compare site performance across Denver, Greeley, Fort Collins, Colorado Springs, or wherever you operate.
Yes. We build consolidated financial statements plus per-location reporting, scoped to your site count across Denver, Greeley, Fort Collins, Colorado Springs, or wherever your locations sit - with home-rule local sales tax rates and fuel tax tracked correctly by location, not blended into one average.
It simplifies the rate side - every dollar of pass-through income is taxed at the same 4.4%, regardless of bracket - but entity structure still matters for self-employment tax, retirement planning, and multi-owner arrangements. We build that into your Colorado station's tax strategy rather than treating the flat rate as the whole answer.

Book a Free Books Review

Find out what your numbers are really telling you.

Book a free books review. We'll look at your setup, show you what's missing, and tell you exactly how we'd fix it. No pressure, no obligation.

  • 30-minute call, your time
  • We look at a sample of your books
  • Clear scope & pricing afterward

Prefer to skip the form? WhatsApp us or email info@fuelcfo.com.

Nationwide Coverage

Gas Station Accounting Across the U.S.

Serving gas station and convenience store owners in 50 states and 466+ cities with specialized fuel accounting, bookkeeping, and tax.

50States Served
466+Cities Covered
100%Fuel-Focused
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Don't see your area? We work with gas stations nationwide.