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Accounting & Data Entry

Accounting Services
  • Bookkeeping

      Recording daily financial transactions

      Managing accounts receivable and payable

      Bank and credit card reconciliations

  • Financial Reporting

      Preparation of balance sheets, income statements, and cash flow statements

      Monthly, quarterly, and annual financial reports

      Customized management reports

  • Tax Preparation and Filing

      Calculation and filing of GST, TDS, VAT, or sales tax

      Income Tax Preparation for businesses and individuals

      Assistance with tax audits and compliance

  • Payroll Processing

      Salary computation and processing

      Tax deduction calculations (e.g., TDS, EPF, ESI)

      Payroll report generation

  • Budgeting and Forecasting

      Preparation of budgets and financial forecasts

      Variance analysis between actuals and budgets

      Cash flow management and projections

  • Audit Support

      Providing data for internal or external audits

      Preparation of audit schedules and reconciliations

      Assisting in compliance reporting

Data Entry Services
  • General Data Entry

      Entry of financial and non-financial data into spreadsheets or accounting software

      Inputting data from scanned documents, invoices, and receipts

  • Invoice Processing

      Data entry for purchase orders and invoices

      Maintaining vendor records

  • Data Conversion

      Converting data from one format to another (e.g., PDF to Excel)

      Digitizing handwritten records into digital formats

  • CRM Data Management

      Maintaining CRM systems with updated client and transaction information

      Data entry for lead and customer details

      Syncing customer-related financial data

  • Expense Tracking

      Tracking business expenses and categorizing them for reporting

      Reviewing receipts and invoices for accuracy

      Generating expense reports and summaries

  • Financial Data Cleanup

      Cleaning up data inconsistencies and errors in financial records

      Reconciliation of financial transactions

      Removing duplicate or erroneous entries

  • Bank Data Entry

      Entering bank statement data into accounting software

      Reconciliation of bank statements with internal records

      Monitoring cash flow based on bank transactions

  • E-commerce Accounting Support

      Tracking sales, expenses, and inventory for e-commerce businesses

      Managing online payment gateways and reconciliation

      Generating sales and profit reports for online stores