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ACCOUNTS & AUDIT

  • Recording Transactions, even on day to day basis.
  • Preparing financial Statements, Bank Reconciliation, Print out of Trial Balance, Cash/Bank, Ledger, Journals, Petty Cash Book, Debtors, and Creditors Ledger.
  • Finalisation of Accounts, Interacting with Auditors.
  • Preparing Vouchers - Payments/Receipts/Journal, Preparing Cheques, Verifying - Sales Register with Sales Ledger/Journal, Verifying Purchase Register with Purchase Ledger/Journal, Inter Branch/ Division Accounting / Reconciliation. Accounting System- Layout as per Balance Sheet and in accordance with relevant acts and Standard accounting practices.
  • Proprietary concerns, Partnership Firms, Societies, Companies, Public Trusts, Banks, Financial Institutions, and Departmental Stores.
  • Internal, Statutory, Concurrent Revenue & Balance Sheet Audits - Proprietary Concerns, Partnership firms, Co-Operative / Credit Societies, Public Trusts, Private / Public / Govt. Companies, Banks, Financial Institutions, Departmental Stores, Branches, Audit of Books of Account, Stocks, Inventory, with Audit Report & Filing with Authorities-Monthly / Quarterly / Half Yearly / Yearly Audit, Tax Audit.
  • Branch Audit

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