Outsource Bank Reconciliation, Update Accounts Receivable, Accounts Payable, Inventories

Bank reconciliation allows companies or individuals to compare their account records to the bank’s records of their account balance in order to uncover any possible discrepancies. A bank reconciliation done regularly can minimize errors in accounts system and make it easier to find missing purchases and sales invoices. Because of the many transactions a company has everyday, bank reconciliation could be time consuming; and therefore, diverts attention from other priorities.

RRU offers monthly bank reconciliation services and helps you analyze your bank statements easily. We provide monthly bank reconciliations of all local banks accounts, which are needed for external audit purposes. This bank recon can also be used by the management to monitor the company’s cash disbursement cycle.

We also offer monthly update of account receivables, accounts payables, inventories, etc.