
This is one of the most common problems in retail — the numbers don't add up. Purchases are entered but stock doesn't reflect. Sales are billed but accounts show a different figure. Staff entries have errors.
This service audits and reconciles your billing, stock, and accounts data so everything matches.
What I do:
→ Compare your billing records with your stock register
→ Identify unrecorded purchases or missing entries
→ Find billing errors — wrong quantities, wrong prices, GST mismatches
→ Reconcile your cash sales with your bank deposits
→ Match your purchase invoices with supplier accounts
→ Give you a clear mismatch report — what's wrong, where, and why
→ Fix entries or guide your staff to correct them
This is especially valuable after a busy season, after a staff change, or before filing your GST annual return.
Turnaround: 3–5 working days depending on data volume.
Remote and on-site (Delhi NCR) both available.
Starting from ₹1,999 — final price depends on complexity. Confirmed on discovery call.