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Service scope you can understand

Services built for monthly execution.

We deliver GST and finance operations through a scope-first model. Each engagement has defined inputs, timelines and outputs.

GST compliance Accounting Reconciliations MIS Income tax (annual) Insurance support

Delivery approach

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Checklist-drivenWe start with required documents and portal access.
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Monthly repeatabilityCut-offs, reconciliation, filing and reporting cycle.
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Professional communicationStatus updates and clear deliverables.
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GST Compliance (Monthly)

GSTR‑1 and GSTR‑3B filing with ITC checks and liability working.

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Accounting / Bookkeeping (Plan-based)

Voucher posting aligned to monthly entry slabs and agreed scope.

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Bank & Ledger Reconciliation

Bank reconciliation and open-item review to avoid drift.

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MIS & Reporting

Trial balance, P&L and cash flow views as per plan.

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Income Tax (Annual Add-on)

Annual ITR filing for individuals and businesses with checklist support.

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Insurance Support (Sales & Renewals)

Requirement-based guidance and support for policy selection and renewals.

Entry definition

One entry = one accounting voucher posted in the books (sales, purchase, receipt, payment, expense, journal, bank transaction).