Developing dependable and affordable tax, compliance, and accounting solutions for growing businesses and individuals.

Contact Info

Accounting Service

Monthly Bookkeeping

Accurate and timely recording of all financial transactions to keep your books clean and investor-ready.

Bank Reconciliation Services

Reconcile bank statements monthly to identify errors, frauds, and maintain financial accuracy.

Ledger Scrutiny & Cleanup

Fix trial balance mismatches, misclassifications, and old ledger balances for a healthy set of books.

Financial Statements Preparation

End-to-end preparation of Balance Sheet, Profit & Loss, and Cash Flow Statements per accounting standards.

Intercompany Reconciliation

Ensure accurate group-level accounting with complete mapping and reconciliation of intercompany transactions.

Management Accounting

Prepare customized MIS, segmental reporting, cost center performance, and budget v/s actual analysis.

Startup Accounting Setup

Get your books structured right from day one—chart of accounts, tax heads, and reporting formats.

US GAAP / IFRS Accounting

End-to-end accounting support aligned with US GAAP or IFRS standards—perfect for cross-border compliance and global reporting.

Remote Bookkeeping (QuickBooks/Xero)

Daily, weekly, or monthly bookkeeping on QuickBooks, Xero, Zoho Books, or Wave—secure, timely, and fully cloudbased.

Bank & Credit Card Reconciliation

Daily and monthly reconciliations of bank and credit card statements to ensure your books stay clean and investorready.

Monthly Financial Reporting Pack

Delivery of Balance Sheet, P&L, Cash Flow, A/R & A/P Aging reports with business insights and commentary

Year-End Closing & Adjustments

Complete support for year-end journal entries, accruals, prepaid adjustments, and handover to your tax CPA

Multi-Currency Accounting Support

Book and track FX gains/losses, revaluations, and multi-currency transactions across geographies and entities.

Financial Controller Review Services

Virtual Controller-level oversight for internal checks, review of books, and reporting pack validation for offshore businesses.

Entity-Wise Consolidation Reporting

Consolidate books across subsidiaries or SPVs into one financial statement with eliminations and disclosures.