Monthly Bookkeeping & Accounting
Maintain clean financial books, comply with accounting standards, and get monthly financial insights without hiring full-time in-house accountants.
Assigned CA / Expert Review
Encrypted Document Vault
What’s Included in This Service
Bank Reconciliation
Sales & Purchase Ledger Entry
Accounts Payable & Receivable Tracking
Monthly Trial Balance
Expense Categorization
Eligibility Criteria
- MSMEs, startups, clinics, retail and consulting businesses
Documents Required
- Bank Statements
- Invoices & Expense Bills
- Payment Gateway Settlement Sheets
Step-by-Step Delivery
How the Process Works
01
Document Sync
Upload bills & bank statements via portal
02
Ledger Posting
Accountant categorizes and posts entries
03
Bank Reconciliation
Balances reconciled against statement
04
Monthly P&L
P&L and Balance Sheet generated