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Audit & Assurance
We organise financial statements, ledgers and supporting evidence into a consistent, review-ready audit file for mainland and free-zone businesses.
How we can help
- Annual financial-statement preparation
- General-ledger and subledger reconciliations
- Bank, customer, supplier and asset reconciliations
- Supporting schedules and audit documentation
- Identification of missing evidence and control gaps
- Coordination with the appointed licensed auditor
How the engagement works
- 01
Confirm the reporting period, deadlines and available records.
- 02
Prepare reconciliations, supporting schedules and an open-items list.
- 03
Track audit questions and corrections through to resolution.
