Accounting Package, Advisory and Training


Accounting Advisory

We help our clients to achieve compliance, advising on how they might organize their financial reporting processes and helping ensure that accounting operations match the objectives of the business.
We apply a disciplined, consistent methodology which enables us to maintain our focus on helping you manage change, safeguard compliance, and optimize the quality and efficiency of your accounting function
Our Accounting Advisory Services practice works with our firms’ clients on a range of important matters possessing significant accounting results, including  

  • Recurring accounting and reporting compliance
  • Methods of Book Keeping and document management
  • Embedding Accounts with Accounting Standards and processes as required by Law.

Book keeping

“We do your books so you can focus on your business”.
We records your transactions and reconciles your business accounts. Each month we provide your company’s key financial reports: Income Statement (profit & loss report), Balance Sheet, and a detailed Account Ledger.
Accounting entries of 
  • Sales
  • Purchase
  • Bank Payments and Receipts
  • Cash Payments and Receipts
  • Expenses (Cash & Credit)
  • Fixed Assets acquisition and disposal accounting
  • Payroll accounting
  • Tax accounting.
 
We also offer backlog bookkeeping and tax preparation services for previous years/period
 

Bank Reconciliation

We offer professional bank reconciliation services for small and medium businesses, corporate houses and large organizations including MNCs. Our expert services can help prevent fraud, avoid legal issues and help you focus better on your main business goals. Bank reconciliation, defined as the act of confirming whether the actual account balance matches the corresponding bank statement, is crucial to the financial health of large corporations and organizations. By verifying the accuracy of each Bank account, the BRS team identifies errors and inconsistencies requiring correction, and reconciles the final balance accordingly.
Read on for a list of BRS tasks we take care of

  • Daily, weekly, or monthly data entry from your bank accounts to your accounting software.
  • Reconciliation of all cleared transactions, open deposits, and open checks. 
  • Matching bank reconciliation balances to your trial balance for financial statement review.
Cash reporting as needed.
 

Inquiry

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