Accounting and Book-keeping services
Our Accounting and Book-keeping Services offer comprehensive financial support spanning day-to-day transaction management to strategic CFO advisory. We ensure precision in financial records, maintain regulatory compliance, and deliver meaningful insights that empower informed business decisions.
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Core Accounting Services
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Financial Statement Preparation : Assist management in preparation of balance sheet, profit & loss statement, cash flow statement including notes to financial statements, summarizing company’s financial performance that help make informed business decisions.
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Accounts Receivable & Payable Management : Streamlined processes to keep your Company’s cash flow under control this includes Invoicing customers, recording customer payments, processing vendor invoices and payments.
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Bank and Credit Card Reconciliation : Ensure that business records match bank and credit card statements each month, thereby rectifying discrepancies early.
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Payroll Processing & Administration : Streamline your payroll operations with our reliable processing services that ensure accuracy, compliance, and timely payouts, so you can focus on growing your business.

Book-keeping Services
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Transaction Entry and Categorization : Recording business income and expenses, classifying transactions for easy tracking.
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Ledger Maintenance : Keeping detailed records of all financial transactions in digital or physical ledgers.
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Expense Tracking : Monitoring and organizing all business expenditures.
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Preparation of Financial Records : Compiling source documents for accountants and audits.
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Compliance Support : Assisting with documentation and record-keeping for audits and regulatory compliance.
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Audit Support : We help our clients to be audit ready and provide support during audit which may include organizing audit PBC’s, co-ordination between company and auditors, preparing responses to audit queries etc.
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Financial Forecasting : Accurate forecasting to help you manage financial planning and growth effectively.
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Period-end reconciliations : Daily, monthly, or quarterly balance sheet account reconciliation to ensure financial record accuracy.
