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Accounting and Bookkeeping Services

  • Preparation of Financial Statements: Compilation of accurate financial documents like balance sheets, income statements, and cash flow statements.
  • Reviewing Books of Accounts: Thorough review of financial records to ensure accuracy and compliance with accounting standards.
  • Bank Reconciliations: Comparison and alignment of financial records with bank statements to identify and resolve discrepancies.
  • Accounts Payable and Receivable Management: Management of outgoing payments to suppliers and incoming payments from customers to maintain cash flow.
  • Payroll Services: Calculation of salaries, benefits, deductions, and compliance with statutory requirements for timely payroll processing.
  • Inventory Management: Tracking and managing inventory levels to ensure accurate stock records and optimal inventory management.
  • Fixed Asset Management: Monitoring and managing fixed assets through acquisition, depreciation, and disposal for accurate asset reporting.
  • Budgeting and Forecasting: Developing detailed budgets and financial forecasts to guide business planning and resource allocation.
  • Preparation of Cash Flow Statement: Preparing statements that provide insights into cash inflows and outflows to manage liquidity effectively.

Visit Us

RZ-1, 2nd Floor, Rithala, Rohini, Delhi, 110085
India
Tel: +91-9899108681
Email: abhijeet@medesha.com

WORKING HOURS

Monday – Friday
09:00 am – 09:00 pm
Saturday – Sunday – Closed

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