Accounting & Bookkeeping
Clean, audit-ready books every month — financial statements, MIS reports, and reconciliation handled by real accountants, not just software.
Everything covered under Accounting & Bookkeeping
No fine print, no surprise add-ons — here's exactly what's delivered as part of this service.
Monthly bookkeeping
Every transaction categorized and posted to your books on a monthly cycle.
Financial statements
P&L, balance sheet, and cash flow statements prepared and reviewed monthly.
MIS reporting
Management reports built around the metrics that matter for your business and investors.
Bank reconciliation
Bank and payment gateway transactions matched against your ledger automatically.
Vendor & expense management
Bills and expense claims tracked, categorized and reconciled against budgets.
Audit readiness
Books structured and documented so year-end audits are a formality, not a scramble.
From kickoff to delivery.
This service runs as a structured project inside your workspace — tracked live, start to finish.
Connect your accounts
Link bank feeds, payment gateways and existing books to your workspace.
We post & categorize
Every transaction is reviewed and posted to the right ledger monthly.
Monthly close & review
Financial statements and MIS reports delivered for your review each month.
Always audit-ready
A clean, documented trail carried forward — ready whenever an audit or investor asks.
Questions about this service
Ready to get your Accounting & Bookkeeping moving?
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