Transaction Processing & Accounts Services

Our Transaction Processing & Accounts Services provide invaluable assistance to clients by efficiently managing their financial transactions and accounts. With our expertise in transaction processing, we ensure accurate and timely recording of financial data, including invoices, receipts, payments, and reconciliations. Our dedicated team handles various tasks such as accounts payable and receivable management, bank statement reconciliation, and general ledger maintenance. By outsourcing these critical functions to us, clients can focus on core business activities while benefiting from increased efficiency, reduced errors, improved financial visibility, and streamlined processes.

Our team can help you with:
Accounts Payable Management

Accounts Payable Management

Our team provides efficient processing of invoices, verifying their accuracy, and managing the payment process. Our transaction processing and accounts services also include tasks such as invoice coding, data entry, invoice matching with purchase orders or contracts, vendor statement reconciliation and timely payment processing.

Accounts Receivable Management

Accounts Receivable Management

Managing accounts receivable is essential for maintaining healthy cash flow. Our team helps with tasks including generating customer invoices, tracking and following up on outstanding payments, managing credit terms, processing receipts and deposits, and handling customer inquiries related to billing and payments.

General Ledger Maintenance

General Ledger Maintenance

The general ledger is the core of the accounting system. Our team is here to help maintain your company’s general ledger by recording journal entries, categorizing expenses and revenues, ensuring proper accounting treatment, and providing a clear view of the financial health of your business.

Financial Data Entry and Reconciliation

Financial Data Entry and Reconciliation

Our team is here to help with recording financial transactions into the accounting system, reconciling bank statements with internal records, and ensuring the accuracy and completeness of the financial data.

Our transaction processing and accounts services in brief:
Managing Accounts Payable

Managing Accounts Payable

  • Invoice Processing
  • Vendor Management
  • Payment Processing
  • Expense Reporting
  • Reconciliation

Managing Accounts Receivable

Managing Accounts Receivable

  • Invoicing
  • Payment Tracking
  • Credit Control
  • Customer Inquiries
  • Aging Analysis

Maintaining General Ledger

Maintaining General Ledger

  • Journal Entries
  • Chart of Accounts Management
  • Accruals and Deferrals
  • Fixed Asset Management
  • Trial Balance & Reporting

Financial Data Entry & Reconciliation

Financial Data Entry & Reconciliation

  • Data Entry
  • Bank Reconciliation
  • Vendor Reconciliation
  • Intercompany Reconciliation
  • Periodic Closing