Accounting Services
We are providing the following services:
Bookkeeping Record
Consolidation of Group Account
Management Reporting and Analysis
Cash Flow Management
Accounts Invoicing & Receivable
Accounts payable management
Account Review
Accounting Staff Placement
Accounting Advisory
Basic
PER MONTH
- The business is looking for basic support
- Up to 100 transactions/month (N1)
- RM 30 per 10 transactions (N1)
- Bookkeeping, Management report, Bank Reconciliation (N2)
Accounts Review by Chartered Accountant
Term and condition apply
Growing
PER MONTH
Growing businesses that need professional support
Up to 100 transactions/month. RM 30 per 10 transactions (N1)
- Bookkeeping, Management report, Bank Reconciliation (N2)
Accounts Review by Chartered Accountant
- SST Reporting & Multi-Currency (N3)
- Term and condition apply
Premium
PER MONTH
Businesses that are serious about the next stage of growth
- Up to 300 transactions/month (N1)
- RM 30 per 10 transactions (N1)
- Bookkeeping, Management report, Bank Reconciliation (N2)
Accounts Review by Chartered Accountant
- SST Reporting & Multi-Currency Reporting (N3)
- Term and condition apply
QUARTERLY ACCOUNTING
PER QUARTER
- Up to 250 transactions per quarter (N1)
Quarterly management accounts
Quarterly review by Chartered Accountant
Bookkeeping Expert
- Term and condition apply
More than 250 Transactions/quarter. No worries, please contact us.
YEARLY ACCOUNTING
PER YEAR
- Up to 350 transactions per year (N1)
- Yearly management accounts
- Yearly review by Chartered Accountant
- Term and condition apply
More than 350 Transactions/quarter? No worries, please contact us.
DORMANT COMPANY
RM400
From RM 400 per year
Up to 60 transactions per year (N1)
Yearly management accounts
Yearly bank reconciliation
- Term and condition apply
SST Registration – RM 500 / registration
Need others services – Please Contact us
Notes:
N1 – 1 transaction = 1 accounting entry entered to record a business transaction. This includes all of the sales invoices and expenses bank deposits and withdrawals, etc.
N2 – Bookkeeping Record day-to-day business transactions to keep track of your profit, revenue, cash flow etc.
N2 – Management reports are including Profit & Loss Statement, Balance Sheet, Trial Balance, General Ledger, Debtor & Creditor Listing, Fixed Asset Schedule etc.
N2 – For bank reconcilliaion , we are compared cash book balance with bank statement balance and reconcile any differences.
N3 – Applicable when your business is subject to SST.
N3 – Applicable when your business transactions more than 1 currency, e.g. company has a foreign currency bank account.