Accounts and financial management:
We manage accounting (book keeping) and financial transactions of small and mid sized companies.
Budget, MIS analysis and commentary on variances:
We assist in preparation of the Budget for a particular project/ year based on client inputs of the processes involved and the relevant cost data. Subsequently we provide monthly MIS reporting of the actuals in Excel format for a comparison with the budget.
Bank Account reconciliation:
We provide bank account reconciliation on monthly basis to the clients depending on the number of transactions and time involved.
We assist the client in arriving at a proper costing of the product. This is sometimes connected to the budgeting. But even otherwise, if we get the relevant inputs, we can frame a cost structure for the products based on standard as well as marginal costing which can be helpful to the clients who source business based on cost tenders.
Payroll database (local tax calculations excluded):
We manage payroll database for clients for monthly payments. Inputs such as attendance, leaves etc. are requested from clients to arrive at the actual pay. Local/ regional tax and levies are however to be informed by the client in advance for a correct output as desired.
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