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CGL is a leading service provider of comprehensive Account
Reconciliation services to a diverse range of global clients.
Account Reconciliation is the reviewing and adjusting of the
account balance in a client's check book to match the corresponding
bank statement. The end product of Account Reconciliation
Services is accurate and comprehensive financial reports,
obtained by painstaking verification of the accuracy of each
account to identify errors and inconsistencies. Our teams
of professional well qualified and experienced online accounting
personnel provide the professional and vigilant approach required.
Outsourcing account reconciliation requirements will help
to save time otherwise spent in manually reconciling accounts.
CGL will provide various levels of information to facilitate
the reconciliation of your Business Operating Account Statement
for any given period. All we require are complete and accurate
records of transactions either maintained in a manual filing
system or online.
The scope of our Account Reconciliation Services includes:
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Comprehensive reports in balance with your
bank statement |
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Flexible reconciliation periods |
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Reconciliation reports in electronic files
or paper |
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Full Reconcilement |
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Partial Reconcilement |
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Deposit Reconcilement |
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Check Sequencing |
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Match of paid checks against the issued
check list |
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Client-specific formats accepted for input
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Transfer of data :
We offer 24/7 services for transfer of data. CGL is committed
to make your Accounting and Cash Management accurate and cost-effective
by its Account Reconciliation services
To avail our Accounting services, or to know
more, contact us today at info@cosmicgloballimited.com
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