Analysing the profitability business SKU’s and identifying better opportunities to improve upon profitability and reducing dependence upon less profitable segment.
Planning and implementation of accounting and reporting system and procedures, besides evaluating and mentoring accounting staff
Providing inputs to formulate cash management processes to have better visibility of threats and weaknesses and opportunities. Advising corrective course to improve liquidity position.
Arranging Monthly/Quarterly Business review meeting as per requirement for Business Performance and Key risk analysis providing minutes incorporating suggestions for necessary action besides incorporating review of statutory compliance.
In event of any unforeseen/unplanned development having direct bearing on business continuity , we provide business continuity plan to the company and ensure business continuity/hand holding of business in absence of Key Man . This includes liaisoning with bank and other institutions for continuity of credit lines. This helps business navigate through the transaction phase.