Upto Date Reporting & Records............. |
Inter Office / Branch Reconciliation |
Inter company accounts can be reconciled in order to ensure all transactions are accounted for properly. Goods, services, financial transaction take place between different branches of a company, between different departments or between different subsidiaries of the company. It is essential to account for each transaction correctly, with each sale or purchase correctly recorded and the appropriate debit or credit note passed. We can capture and add the relevant information to your Financial software for up to date Control and Maintenance or give you processed data or reports in whatever format you need on a regular basis, including daily basis if needed. |
Software |
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We can work on the following packages for you: - Sage We also use our own in-house software with MS SQL database for customised needs. If you feel that your needs are not covered by the software packages listed above, please let us know, we will advise you of the possible solutions available.
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For Working Procedure.......... Click Here |
