We undertake customised, high-volume and complex reconciliation assignments requiring detailed transaction-level analysis.
- Bank, Customer and Vendor Reconciliations
- GST and Tax Reconciliations
- TDS, Form 26AS, AIS and TIS Reconciliation
- Investment and Portfolio Reconciliation
- Inter-company Reconciliation
- Books vs. Returns / Records Reconciliation
- Historical Data Review and Clean-up
- Transaction Verification and Exception Reporting
- Specialised Data Analysis and Review Assignments