The books had outgrown the spreadsheets. Records scattered, bank statements and the ledger no longer agreed, the cash position unclear. Vendor payments slipped. Partner reimbursements turned into disputes. We rebuilt the books, and the processes around them.
A single source of truth for the books, the cash position, and every reconciliation.
All financial data migrated from scattered spreadsheets into proper accounting software and recorded systematically.
Detailed bank reconciliations and general ledger alignment for accuracy and consistency you can decide on.
Vendor tracking for timely settlement, backed by a clear and current cash position.
Clean reimbursement workpapers and a transparent process that ends internal disputes.
Up-to-date books, a trusted cash position, and real time returned to new deals and investor relations.