Accounting Services
One professional workspace for Accounting Data Entry, Bookkeeping, Ledger, Bank Reconciliation, Trial Balance, Profit & Loss, Balance Sheet, GST/TDS-linked accounting and MIS.
1. Documents / Data Required First
Basic Books
- Sales invoices
- Purchase bills
- Expense vouchers
- Receipts / payments
- Journal entries
- Cash book
Bank / Statutory
- Bank statements
- Loan statements
- GST returns / GSTR-1 / 3B / 2B
- TDS challans / returns / certificates
- Payroll summaries where applicable
Opening / Closing
- Opening Trial Balance
- Party outstanding
- Stock summary
- Fixed asset schedule
- Loan / advance balances
- Previous-year final accounts
2. Accounting Data Entry & Bookkeeping
Accounting Data Entry
Sales, Purchase, Receipt, Payment, Contra, Journal, Credit Note and Debit Note.
Open RegisterPurchase & Expense Booking
Vendor bills, direct/indirect expenses, GST/TDS applicability and payment status.
Cash / Bank Book
Cash receipts/payments, bank entries, contra and running balances.
Journal / Adjustments
Provision, depreciation, outstanding/prepaid, accrual and correction entries.
3. Masters & Control
Ledger Master
Customer, supplier, income, expense, asset, liability and tax ledgers.
Group Master
Correct accounting grouping for final accounts and schedules.
Opening Balances
Ledger-wise Debit/Credit opening with validation.
Cost Centre / Project
Department/project-wise accounting where required.
4. Reconciliation & Checking
Bank Reconciliation
Books vs bank statement: unmatched receipts/payments, bank charges, interest and date differences.
Party Reconciliation
Customer/vendor ledger vs confirmation statement.
Loan / Interest Reconciliation
Principal, interest, EMI, charges and closing balance matching.
5. Trial Balance & Final Accounts
Trial Balance
Ledger/group-wise debit-credit balance with out-of-balance checking.
Profit & Loss Account
Income, direct/indirect expenses, gross profit and net profit.
Balance Sheet
Capital, liabilities, loans, creditors, fixed/current assets, debtors, bank/cash.
Schedules
Debtors, creditors, loans, advances, fixed assets and statutory dues.
Fixed Assets & Depreciation
Opening, additions, deletions, depreciation and closing WDV.
Year-End Adjustments
Outstanding/prepaid, provisions, depreciation, stock and tax entries.
6. GST / TDS / Income Tax-linked Accounting
7. MIS & Management Reports
8. Monthly / Quarterly Financial Statements
Monthly Income Statement
Month-wise Revenue, Direct Expenses, Gross Profit, Other Income, Indirect Expenses and Net Profit/Loss.
Monthly Balance Sheet & P&L
Month-end Trial Balance, Profit & Loss and Balance Sheet with opening/adjustment balances.
Quarterly CA Review Pack
Quarterly TB, P&L, Balance Sheet, reconciliations and CA-style exception checklist.
9. End-to-End Accounting Workflow
- Collect documents and opening balances.
- Create/verify Ledger and Group Masters.
- Enter daily vouchers.
- Reconcile Bank, Parties, GST, TDS and Loans.
- Review Trial Balance and exceptions.
- Pass depreciation/provision/year-end adjustments.
- Generate P&L, Balance Sheet and schedules.
- Export / client review / tax filing handoff.
CA Approval & Stock Control
CA Certificate & Approval Center
Income Tax document verification, accounting approval confirmation, P&L/Balance Sheet approval, CA remarks, membership/UDIN and approval history.
Open CA Approval CenterStock Data Maintenance Hub
Raw Material → WIP → Finished Goods → Sale/Dispatch with daily stock movement, production consumption, wastage, reorder and stock valuation.
Open Stock HubDirect Income Computation
Use final accounting figures with AIS/TIS/26AS/TDS data to prepare a standalone tax computation without filing.
Open Computation