You can hire us not only to check and cross verification of your Accounting transaction but also, improve accounting and administrative internal control of your business risk. The Accountant Plus: provide services in Audit, In which we, check the extent of compliance with established policies, plans and procedures. Review soundness, advocacy and application of accounting / financial and other relevant controls. Check the delegation of authorities and their applications at various levels of management. Check reliability of accounting and other data developed within the organization and proper coordination between departments. Check the quality of performance in carrying out the assigned responsibilities being appraised at the appropriate level of management Report and recommend method and systems for overall benefit of the organizations.
Sales Audit and verification services in Karachi.
If you are Not satisfied with depositing amount against sales we can do its Audit and make you satisfied what amount is receiving and what amount is balance and what amount should your receivable against Your Export sales ,Local sales ,Misc. Sales and Other sales.
Purchase Audit and Purchase verification services in Karachi.
In this, we verify your purchase and material receive and payable amount by GRN and Purchase order and cash payment and also cross Justify it with the Production details of the Company with daily Production report of Product and note and report cost variances and management report for MD or Chairman and make actual payable burden.
Stock Audit Stock system Audit services In Karachi.
In this, we verify stock position and stock movement at Yours Go downs, ware houses, Distributors, stores, outlets and Branches with available records, and prepare reports for Management of discrepancies against their rules, policies, procedures and management follow up and check the quantity on test basis or 100 % 0r as per the management requirements and calculate the stock values.
Monthly Audit of Profit and Loss statement and Balance sheet services in Karachi
We provide services for Monthly audit in which clients don’t need any internal Audit department our staff visit client office and review all purchase sales bank and cash payment and highlight variances if any on monthly basis and prepare the Management reporting on Finding and suggest Improvement Plan for future in regards betterment of the company.
Annual Audit and verification services of Profit and Loss accounts and Balance sheet.
In this kind of services we provide staff to reconciled clients all transaction occurred during the year as per need basis (100 % or test basis) and prepare details audit report so that client understand and get knowledge of its internal control weakness in Accounting cycle and documentation, we highlight the business risk and introduce the system by which automatic reconciliation is done by the input procedure.
Bank Audit and Bank Reconciliation Services in Karachi
Here we shortly check all banking transaction as per its posting, vouching and incorporation with General Ledger, we prepare bank reconciliation and other management reporting to make sure that each transaction has been recorded properly and reflecting proper positions of fund in trail and financial statement.
General Ledger Audit and General Financial statement Audit to see the Accuracy services in Karachi Pakistan.
In this, we verify your each and every thing of your Trail balance of Your Accounts and check each posting of your Debit Vouchers, Credit vouchers General Voucher, Bank Book Vouchers Cash voucher and review attached supporting documents like Bills, Invoices, Purchase orders, Gate pass, Inward gate pass, outward gate pass, Discounts and other documents and analyze numerical calculations and prepare Management reports for Higher Management MD/Chairman of Variances against Company policies and procedures.
Other Special Audit
we also conduct special Audit of Gratuity fund, PF fund and other Investment to calculate the actual return on investment and its distribution and allocation to Individual Employee or member Account.
100% Audit Voucher to voucher and Bill to Bill
we provide 100% audit of Your company accounts from Voucher to voucher and bill to bill and help and guide to get 100% accurate results of your worries, we also reconcile all ledger entries from cash book to trial balance and balance sheet, step to step so that we could orient result as per your expectation. Here we never neglect any kind of adjustments and transfer entries.Our expert team execute system of accuracy and transparency cross checking which reflect and provide you a view to see reports in so many angles which help you to make future planning , feasibility, profitability, return of investment, business hidden losses and potential for any hidden profitability for your planing. Our this services will really provide you many aspect to enjoy your business financial transaction by each and every aspects MIR (Management Information report.
voucher and its supporting documents in financial services in Karachi Pakistan
when we start audit of any company whether Individual business or proprietorship company, partnership company or Private Limited company our internal or external audit assignment start from voucher. Voucher is the basic information about any business financial transaction that consist initial information about transaction. this tell us why an expense incurred where when who approved who will consumed or utilize this item which is purchase by this vouchers our all inquiry depends on the information mentioned in this piece of paper so accountant of company always try to mention all necessary basic information, this documents give information about date of transaction, amount , seller information, mode of payment, Allocation of head of accounts, items particulars, preparing authority, approval authority. From this documents we transfer information in cash book , general Ledger, trail balance profit and loss and balance sheet finally. Due to this its has central importance in bookkeeping and Accounts Master or Accounts Expert of Company can write each and every thing concern to this transaction , seller balance, cheque details, rate of items, quantity of items, stock remarks, item descriptions and specially registration of income tax, sales tax, and company registration number or income tax number here in Karachi outsource and low cost Accountant of Pakistan chartered accountant of Pakistan the approved and recognized institute in the world also mentioned importance of this documents etc