Training and Setup
- Chart of Account Setup
- Subsidiary Ledgers Setup
- Item Register
- Transactions Guideline
- Opening Balance Setup
- Training Support
Book-keeping Service
- Dedicated Accountant for Software Support
- Guideline for Complicated Transactions
- Daily Checking for Transaction Accuracy
- Site Visit on Client's Request
- Prepare monthly reports
Accounting Outsource
- Document Format
- Data Entry
- Balance Reconciliation
- Inventory Report
- Customer Report
- Supplier Report
- Cash Flow Summary
- Profit/ Loss Report
- Balance
- Report Insight