Services

BOOK-KEEPING

Accounts Reconciliations

A robust Reconciliation process improves the accuracy of the financial reporting functions and allows the Finance department to publish financial reports with confidence.

Our team will work together with you to understand your requirements, study the case on site and draft a procedure of approach following which we collect all required information.

The various Reconciliations work we handle include Inventory, Payables and Receivables, Salary, Expenses and any Ledger Reconciliation. We also perform reconciliations for all Balance Sheet accounts on a regular and ongoing basis.

Construction of Past Accounting Records

Do you need to prepare your past year’s financial documents but has few transaction records? Then we can make it possible.

ExSol will provide you a Team, who will help you build the book from external documents and finalize the Balance Sheet. We will work closely with you until the audit is successfully completed.

Accounts Consulting

As organizations grow in size and number, numerous accounting related issues come to the forefront among others. ExSol's team of experienced Business Consultants conducts Management Audits, develops Systems & Procedures, analyzes pain areas and provides affordable solutions. Controls are suggested as well as methods for Data Collection, augment sound decision making.

Our team conducts a general health check-up of the Balance Sheet. We check the benchmarks, policies and procedures that have been implemented and evaluate its effectiveness by analyzing staff adherence to set procedures while performing their delegated duties.

Monitoring of Accountants & Report Generation

ExSol conducts monitoring of proper Book Keeping tasks for remote clients.