We undertake the outsourced bookkeeping and accounting activities for Certified Public Accountants, Small Business entities as well as for accounting departments of the Medium Business entities and Companies.
All Book Keeping Services
Our staff is trained to work on all major accounting software used world wide to perform this function.
The software being used for doing outsourced bookkeeping & accounting work are QuickBooks, Quicken, Myob, Sage, Creative Solutions Accounting or any other as per the need and choice of the Client.
We understand your concern about the risks of outsourcing bookkeeping & accounting services to India and thus maintain high standards of confidentiality and security with the help of appropriate procedures in place to prevent any unauthorized release of confidential client information.
Security Policy : Read More...
Day to Day Book Keeping Process
As per the procedure adopted by us, we shall receive data from you in one of the following modes:
- Remote Access.
- Uploading and Downloading on our server using SSL.
- Transfer of the data through e-mail.
Data Transfer Process : Read More...
We, at FinTax Experts India, offer, outsourcing of the following bookkeeping and accounting services as a package or as a single service basis. We, however would prefer that, if outsourcing is chosen as a preferred way of working, it should be done as a total package to avail advantage of the synergies of working upto the stage of finalization of the accounts.
Daily Data Entry
Daily data entry is the procedure of recording all the daily transactions in the respective accounts to enable a business entity to see on any particular day about its accounts.
We, at FinTax Experts, provide our services of recording all your accounting transactions (in the software of your choice) on daily basis which you can see next day and have the accounting information of your business for taking important business decisions.
General Ledger Maintenance
Transaction of any business need to be properly classified into appropriate heads as per the prescribed accounting standards and the applicable legal provisions. The data recorded is therefore arranged by assigning every transaction a suitable and appropriate head as required under the Government policies or IRS regulation.
The activity provided includes the following as a package for our cash management services:
- Process daily sales and deposit reports.
- Verify daily deposits and report variances.
- Reconcile and verify credit card deposits.
- Reconcile monthly bank statements.