We provide our clients with the option of monthly or yearly accounting services listed as below:-

  • Daily entry of accounting transactions (vendor bills, customer invoices, bill payments, customer payments and deposits, and other disbursements and withdrawals)
  • Accounting Reconciliation
  • General Ledger Maintenance
  • Inventory Reconciliation
  • Accounts Receivable,
  • Accounts Payable
  • Cash account ledgers
  • Reconstruction of accounts (clearing of backlog accounts and incomplete records made good)
  • Consolidation of accounts
  • Bank reconciliation