Description
Recording of routine financial transactions in Tally software based on information provided by the client by our professionals.
Entry of sales, purchase, receipt, payment, and journal transactions.
Periodic classification of accounting entries under relevant ledger heads by experts.
Maintenance of books of accounts for the applicable financial years.
Preparation of financial summaries such as Profit & Loss statement and Balance Sheet based on accounting entries recorded.
Periodic review of ledger balances for accuracy.
Sharing accounting reports and summaries with the client where required.
Basic guidance regarding accounting record maintenance during the service period.

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