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Registering and proving receipt and disbursement vouchers
Registration and proof of sales and output tax
Registration and proof of purchases and input tax
Recording and proving monthly salaries
Recording and proving all expenses and costs
Recording and proving all expenses and costs
Sending the account statements required by the administration
Extracting periodic trial balances from the accounting system
Reconciling bank balances periodically
Matching supplier and customer balances
Preparing and submitting value-added tax returns
Follow up with the Authority in case of examining the declarations
Preparing a register of fixed assets and their depreciation
Visit the client's headquarters weekly
Preparing quarterly internal financial statements
Issuing a monthly income statement
A monthly visit to audit the inventory and match it with the system balance
Preparing the zero profit report
Preparing cost reports for the service provided
Basic package
Registration and issuance of cash and exchange bonds
Registration and attribution of sales and output tax
Registration and assignment of purchases and input tax
Recording and proving monthly salaries
Recording and proving all expenses and costs
Sending the account statements required by the administration
Extracting periodic trial balances from the accounting system
Reconciling bank balances periodically
Matching supplier and customer balances
Preparing and submitting value-added tax returns
Request a quote
الباقة المفضلة
Registration and issuance of cash and exchange bonds
Registration and attribution of sales and output tax
Registration and assignment of purchases and input tax
Recording and proving monthly salaries
Recording and proving all expenses and costs
Sending the account statements required by the administration
Extracting periodic trial balances from the accounting system
Reconciling bank balances periodically
Matching supplier and customer balances
Preparing and submitting value-added tax returns
Preparing and submitting value-added tax returns
Follow up with the Authority in case of examining the declarations
Preparing a register of fixed assets and their depreciation
Visit the client's headquarters weekly
Preparing quarterly internal financial statements
Request a quote
الباقة الاحترافية
Registration and issuance of cash and exchange bonds
Registration and attribution of sales and output tax
Registration and assignment of purchases and input tax
Recording and proving monthly salaries
Recording and proving all expenses and costs
Sending the account statements required by the administration
Extracting periodic trial balances from the accounting system
Reconciling bank balances periodically
Matching supplier and customer balances
Preparing and submitting value-added tax returns
Preparing and submitting value-added tax returns
Follow up with the Authority in case of examining the declarations
Preparing a register of fixed assets and their depreciation
Visit the client's headquarters weekly
Preparing quarterly internal financial statements
Issuing a monthly income statement
A monthly visit to audit the inventory and match it with the system balance
Preparing the zero profit report
Preparing cost reports for the service provided
Request a quote
Prices are divided based on the volume of work
Request a quote