
Accounting & MIS Services
Outsourced accounting and real-time MIS reporting that gives you complete visibility into your finances — always accurate, always on time.
From Bookkeeping to Board Packs
GXG manages your complete accounting function — daily transaction recording, reconciliations, payroll, MIS dashboards and year-end finalization — giving you a finance team without the overhead.
Everything under accounting & mis services
Bookkeeping
Accurate daily transaction recording across all accounts, cost centres and business units.
MIS Reports
Custom monthly management reports with P&L, cash flow, AR/AP aging and key business KPIs.
Bank Reconciliation
Timely reconciliation of all bank and credit card accounts to catch discrepancies early.
Payroll
End-to-end payroll processing including salary slips, PF, ESI, PT and TDS deductions.
Finalization
Year-end account closing, audit preparation, P&L and balance sheet finalization.
Analysis
Financial ratio analysis, variance reports and trend analysis to support management decisions.
A clear process
Setup
Chart of accounts, accounting software onboarding and opening balance migration.
Monthly Cycle
Transaction recording, bank reconciliations and preliminary reports each month.
MIS Delivery
Customized MIS package shared by the agreed date every month.
Review
Monthly review call to walk through financials, flag exceptions and discuss business insights.
Common questions
What accounting software do you work with?
We work with Tally Prime, QuickBooks, Zoho Books, Busy and other platforms. We can also set up a new system if you are starting fresh or migrating from manual records.
How do I share invoices and bank statements with you?
We use a secure shared drive, WhatsApp or your existing tools to collect documents. Our team processes everything and follows up for missing items automatically.
What is included in the monthly MIS report?
Typically P&L, cash flow summary, balance sheet, AR/AP aging, expense analysis and key business KPIs — all customized to what your management team needs.
Can you handle accounting for multiple group companies?
Yes — we manage accounting for business groups with both entity-level and consolidated reporting, including intercompany reconciliation.