Outsourced Accounting
We offer a range of services to support your business and provide guidance, project management, and support where you need it most.
Our services include:
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Accounts payable and receivable management
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Bank reconciliations
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Budgeting and forecasting
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Cash flow management
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Financial analysis and reporting
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General ledger maintenance
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Inventory management
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Payroll processing
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Bookkeeping
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Please note that these services are subject to change based on the complexity of your business needs. Our pricing is tailored based on your requirements. We offer flexible pricing based on the number of work hours required. If you have any questions or would like to discuss a custom pricing plan, please don’t hesitate to contact us.
CFO Services
Pre- Set Packages
As business owners ourself, we understand the most common pain points, so we have tailored some ready to implement packages to help solve the following three needs of business owners.
If you want help with something specific, we're happy to quote you based on your individual needs.

I want to better understand my financial performance
Understand what your financial statements truly mean. Get a detailed Management Report explaining what's driving your business profit and what's not!
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Profit & Loss Analysis
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Balance Sheet Analysis
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Industry financial Ratio Analysis
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Profit Improvement Tips
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Reporting Dashboard with customized metrics
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Templates for ongoing use
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Dedicated Finance Expert
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World class support and advice
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Follow up strategy call
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I want the best practice SOP's for my business
Get a detailed review of your financial processes by an Ex Big4 Auditor, including documentation and implementation of best practice SOP's tailored to your business for processes such as:
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Cash Receipts & Payments
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AR (Sales and Invoicing)
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AP (Purchase and Payments)
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Revenue Recognition
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Fixed Asset Register
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Segregation of Duties
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Monthly books closing
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Payroll
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Roles and responsibilities of the Accounts Team
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I want better control over my
Cash Flow
Get a detailed reconciliation of your profit figures to your cash balances, along with templates for managing cash flows and working capital.
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Historical cash flow statements to understand where all the money went
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Analysis of spending
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Review Company bank accounts to ensure reconciliation is done appropriately
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Understand levels of cash available & obtain maximum return on idle cash
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