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Accounting Services

Practice Area

Accounting & Financial Reporting

Professional financial-management assistance for accurate reporting, regulatory filing, and informed decision-making.

Financial Management Solutions

We provide end-to-end accounting services tailored for SMEs and corporations, ensuring your financial records are meticulously maintained and audit-ready.

Bookkeeping & Ledger

Accurate maintenance of daily transactions and general ledgers.

Payroll Accounting

Salary processing, tax deductions, and provident fund calculations.

Financial Statements

Preparation of balance sheets, income statements, and cash flows.

Bank Reconciliations

Matching company cash records with bank statements securely.

Internal Controls

Developing and reviewing internal financial control frameworks.

Management Reporting

Periodic reporting for informed management decision-making.

Bookkeeping

Accuracy

Reconciled Ledgers

Outsourced Accounting

Bookkeeping & Payroll Management

Maintaining accurate day-to-day records is the foundation of corporate transparency. Our team handles everything from invoicing to payroll, ensuring complete compliance with tax and labor laws.

  • Daily & Monthly Transaction Recording
  • Accounts Payable & Receivable Management
  • Fixed Asset Register Maintenance
  • Employee Salary & Benefits Processing
  • Statutory Deductions (Tax, EOBI, SESSI)
  • Expense & Reimbursement Tracking
Financial Reporting

Corporate Reporting

Statutory & Management Accounts

We transform raw financial data into clear, actionable reports. Whether you need statutory financial statements for SECP filings or customized management accounts for board meetings, we deliver precision.

Annual & Bi-Annual Financial Statements
Customized Management Accounts
Cash Flow Projections & Budgeting
Financial Variance Analysis
Audit Preparation & Schedules
Regulatory Financial Compliance

The Accounting Cycle

Our Work Methodology

01

Data Collection

Gathering invoices, receipts, and bank statements.

02

Processing

Recording entries into the accounting software.

03

Reconciliation

Verifying ledger balances against bank records.

04

Reporting

Generating final financial statements for management.

Data Integrity & Confidentiality

Every financial record and working paper is handled with the utmost confidentiality. Under strict partner-level supervision, we guarantee the integrity of your corporate accounts.

Knowledge Base

Frequently Asked Questions

Yes. We offer complete outsourced bookkeeping services utilizing modern cloud software (like QuickBooks and Xero) to record day-to-day transactions, manage ledgers, and reconcile bank statements for small businesses and startups.
Yes. We prepare comprehensive, compliant financial statements—including Balance Sheets, Profit and Loss accounts, and Cash Flow statements—structured to meet the rigorous reporting standards required for annual SECP and FBR statutory filings.
Our service includes calculating monthly employee salaries, managing tax withholdings, computing provincial social security (SESSI/PESSI) and EOBI contributions, and generating itemized digital payslips along with final settlement reporting.
We enforce high-level security protocols, including restricted cloud access controls, end-to-end data encryption, routine secure backups, and the strict signing of corporate Non-Disclosure Agreements (NDAs) to protect your proprietary financial records.

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