Stop chasing receipts and correcting ledger errors.
We keep your books clean, reconcile bank statements weekly, and send simple, jargon-free monthly reports. Based in Hyderabad, serving founders nationwide.
Our Complete Bookkeeping Workflow
We combine professional CA/ACCA rigor with modern accounting tools to give you real-time visibility into your numbers.
Daily/Weekly Ledger Updates
No more backlog panic. We sync with your bank and processors to record sales, purchases, and expenses regularly.
- Automatic bank feeds setup
- Accurate receipt extraction
- Clean categorization of expenses
Bank & Payment Reconciliations
We ensure every rupee leaving or entering your account matches an invoice or a voucher. No missing entries.
- Multi-account bank matching
- Payment gateway (Razorpay/Stripe) sync
- Credit card/expense claim matching
Monthly P&L & Balance Sheets
Receive structured financial reports by the 10th of every month. Make decisions based on verified, audit-ready numbers.
- Profit & Loss statement (P&L)
- Balance sheet compilation
- Cash flow burn-rate reports
Platforms We Work With
What Founders Say
"I used to be terrified of the GST portal. These guys just fixed everything in a week, and now I don't even think about tax season."
Bookkeeping FAQs
A: Monthly closing, expense categorization, bank reconciliations, vendor ledger matching, and delivery of a clear reporting package (P&L, Balance Sheet, Cash Flow).
A: Yes. We start with a dedicated cleanup sprint to reconcile previous months, resolve missing bills, and establish a clean starting point for your ongoing monthly books.
A: We request read-only view access or bank statements sent on a monthly/weekly schedule. We never request transaction execution privileges or OTP access.
Ready to Get Professional Bookkeeping?
Reach out today. We will set up your trial balance, connect your accounting software, and handle the books professionally.
Schedule Free Bookkeeping Consultation