Our Services
Professional financial, compliance, and systems support designed to help businesses stay organized, compliant, and ready to grow.
Accounting & Bookkeeping
- Accurate maintenance of day-to-day financial records and transaction processing.
- Preparation and review of journals, ledgers, and supporting accounting schedules.
- Monthly bank, supplier, and customer reconciliations to ensure records remain complete.
- Timely preparation of management reports and financial statements for decision-making.
- Structured accounts payable and receivable support with disciplined tracking and follow-up.
Audit & Assurance
- Internal audit support focused on controls, process integrity, and operational discipline.
- External audit readiness support, including schedules, reconciliations, and working papers.
- Coordination with auditors and key stakeholders throughout the review cycle.
- Assessment of financial information for consistency, completeness, and reliability.
- Actionable recommendations to strengthen governance, reporting, and control environments.
Tax & Compliance Support
- Preparation and filing support for tax returns with disciplined deadline management.
- Assistance with VAT, Corporate Tax, GST, and other indirect tax obligations where applicable.
- Regulatory filings and statutory submissions managed with accuracy and care.
- Compliance calendar oversight to support timely execution of recurring obligations.
- Document review and records management to support reliable and audit-ready submissions.
System Implementations
- Implementation of accounting and ERP systems aligned with operational and reporting needs.
- Chart of Accounts design and setup to support structure, clarity, and control.
- Data migration planning, validation, and cleanup for a seamless transition.
- Workflow configuration tailored to finance processes and business requirements.
- Post-implementation training and on-site support to ensure confident user adoption.
Business Support
- Outsourced finance support for startups, SMEs, and expanding organizations.
- Monthly reporting support with improved visibility into performance and cash flow.
- Flexible engagement models aligned with your business stage and internal capacity.
- Support with routine finance operations, documentation, and process coordination.
- Responsive advisory support designed to reduce workload and improve efficiency.
Projects / Portfolio Audit & Analysis
A comprehensive financial and operational review of your complete project portfolio to identify performance gaps, control cost overruns, improve cash flow, and understand each project’s true contribution to overall business profitability.
- Review project revenue, direct costs, overhead allocation, margins, and overall profitability..
- Compare actual project performance against approved budgets, BOQs, estimates, and forecasts.
- Identify profitable, underperforming, delayed, and loss-making projects.
- Verify the accuracy and completeness of project-related revenue and cost recognition.
- Review work-in-progress, unbilled revenue, accrued costs, retention, and advance-payment balances.
- Assess project billing progress against physical completion and certified work.
- Analyze project cash inflows, cash outflows, working-capital requirements, and funding gaps.
- Identify unrecorded liabilities, unsupported expenses, duplicate costs, and incorrect project postings.
- Assess project procurement, purchase orders, subcontractor commitments, and remaining cost obligations.
- Analyze the combined impact of all active and completed projects on company profitability and cash flow.
- Provide Real-time & interactive management dashboards, project rankings, key findings, and practical recommendations for corrective action.
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What we deliver
We offer a wide range of services to meet your needs.
Accurate and timely reporting
Receive clear, reliable, and up-to-date financial reports that help you understand performance and make informed business decisions.
Regulatory compliance
Stay aligned with applicable accounting standards, VAT, Corporate Tax, statutory requirements, and regulatory filing deadlines.
Improved financial controls
Strengthen internal processes, approval procedures, reconciliations, and financial oversight to reduce errors, risks, and unauthorized transactions.
Better cash-flow visibility
Gain a clearer view of incoming and outgoing funds through structured cash-flow reporting, forecasting, and working-capital monitoring.
Audit-ready documentation
Maintain organized financial records, reconciliations, schedules, and supporting documents to make internal and external audits more efficient.
Scalable financial systems
Implement reliable accounting processes and systems that can adapt to increasing transaction volumes, new business activities, and organizational growth.