Before starting a business planning of business is must in terms of it’s estimated future performance and feasibility. We help you prepare business plans and assist you in preparation of cash flow projections, budgets, trading forecasts and calculating Capital Requirement Plans. The following highlights our scope of work but is not limited to:

  • Preparing Cash Flow Projections.
  • Preparation of Budgets and Trading forecasts.
  • Calculation and reporting on estimated Capital Requirement (both working and fixed).
  • Assessing financial requirement of proposed Business and advise on best alternative source for raising the fund.
  • Preparation and study of feasibility of the proposed project.
  • Assistance in maintaining accounting record and documentation.
  • Payroll management and statutory compliance related to Payroll including compliance of Employees Provident Fund, Employees State Insurance Scheme, TDS and other Deductions etc.
  • Preparation and Implementation of Business Processes and related Internal Controls.
  • Preparation of Financial Statements along with reporting on Accounting ratios and comparison of the same (Ratio Analysis) which may influence Business decisions for future growth.