ACCOUNTING SERVICE – OUTSOURCED
We provide end-to-end accounting service ranging drawing up a bespoke chart of accounts and setting up General Ledgers (GL), entering accounting data to your GL, and conducting bank reconciliation to generating accounting reports and distribution of the reports to your designated persons.
Depending on your needs, you can get the following deliverables:
- Monthly General Legers detailing up-to-the-month transaction records covered in in each ledger;
- Monthly bank reconciliation;
- Up-to-the-month financial statements (Balance Sheet and Income Statements) on a monthly basis along with detailed items comprising each significant assertion; and
- Other reports as per your requirements.