How raw bank transactions and vouchers transform into executive business intelligence.
Capturing invoices, purchase bills, bank statements, and payroll schedules.
Double-entry ledger posting, cost center tagging, and GST/TDS tax classification.
Automated matching of bank statements, credit cards, GSTR-2B, and vendor balances.
Generating comparative P&L, Balance Sheet, cash burn, and departmental budget variances.
Monthly advisor consultation reviewing working capital, margins, and cost leaks.
Daily/weekly posting on Tally Prime, Zoho Books, QuickBooks, or SAP with multi-currency and multi-branch cost center support.
Vendor bill verification, 3-way purchase order matching, payment schedule approvals, and MSME 45-day payment statutory tracking.
Customer invoicing, automated payment reminders, aged debtor reporting (0-30, 31-60, 61-90+ days), and collection acceleration.
Eliminating reconciliation backlogs across current accounts, payment gateways (Razorpay, Stripe), POS machines, and wallet settlements.
Actionable monthly reports detailing gross margins, EBITDA, operating expense ratios, working capital cycles, and cash runway projections.
Assembling audit schedules, fixed asset registers, inventory valuation certificates, and ledger grouping for seamless statutory and tax audits.
We work across all leading accounting systems including Tally Prime, Zoho Books, QuickBooks, Busy, and enterprise ERPs like SAP and Oracle NetSuite. We also assist in migrating your historical books from offline desktop systems to secure cloud platforms.
We provide a dedicated secure document portal, shared cloud drive, and encrypted communication channels where your finance team can upload invoices, bank feeds, and statements in real time.