Operate · Service 08
Accounting
Bookkeeping and monthly close: recording transactions, monthly reconciliations and year-end accounts, organized for clean handover to your tax filings.
Request a quoteWhat's included
- Chart of accounts setup matched to your jurisdiction and business model
- Monthly recording and bank, supplier and customer reconciliations
- Monthly close package: P&L, balance sheet, cash position
- Year-end accounts ready for filing
- Liaison with your local tax accountant for declarations
How it works
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Step 01
Setup
Chart of accounts, fiscal year and tooling configured to your jurisdiction.
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Step 02
Monthly close
Transactions recorded, accounts reconciled, exceptions surfaced early.
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Step 03
Reporting
A monthly package (P&L, balance sheet, cash position) you can act on.
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Step 04
Year-end handover
Year-end accounts and clean files passed to your tax accountant on schedule.