Our services include:
- Day to day accounting
- Daily banking and reconciliations
- Monthly, quarterly, and annual accounts closing
- Finalization of monthly financial statements: Profit & Loss Accounts, Balance Sheets, Cash flow statements
- Weekly and monthly management reporting
- Managing General Ledger (GL), chart of accounts
- Accounts receivable management
- Customer billing, collection follow-ups, reconciliations, accruals
- Accounts Payable and Vendor management
- Vendor and contractor invoice bookings, payments, reconciliation, accruals
- Fixed Assets accounting
- Treasury and cashflow management