Accounting & Bookkeeping
Complete accounting and ledger management –
Ensuring accurate recording of all financial transactions and maintaining transparency.
Monthly reconciliations of all balance sheet accounts –
Validating cash, receivables, payables, and other balances to ensure accuracy.
Month-end, quarter-end & year-end closings with reporting packs –
Streamlining closing activities and preparing detailed reports for management.
Back-end support and coordination with the auditor –
Assisting auditors with reconciliations, schedules, and clarifications for smooth audits.
Preparation of GAAP/IFRS/Ind-AS compliant financial statements –
Delivering financial reports in full compliance with accounting standards.