I-KAD FinservI-KAD Finserv

Accounting

Reconciliation - Bank & Ledgers

Reconciliation of bank statements, ledgers, receivables, payables and accounting balances with books of accounts. I-KAD Finserv manages this through a structured consultation, document checklist, review workflow and delivery confirmation.

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Who Requires It

Is this for you?

Businesses, companies and entities requiring accurate financial reconciliation.

Process

How it works

  1. 1Consultation
  2. 2Document collection
  3. 3Review and reconciliation
  4. 4Filing or report preparation
  5. 5Client confirmation and delivery

Documents

Documents needed

  • PAN, GST and registration details
  • Bank statements and sales data
  • Purchase invoices and expense records
  • Payroll or challan details where applicable

Benefits

Why this helps

  • Reduced compliance follow-up
  • Cleaner document trails
  • Better monthly reporting
  • More predictable finance operations

FAQs

Common questions

Can this be part of a monthly package?

Yes. Every core solution can be included in a monthly, quarterly, half-yearly or yearly package.

Do you support WhatsApp coordination?

Yes. WhatsApp and email coordination are available based on package scope.