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πŸ“Š Accounting

Closed monthly. Never a scramble.

Monthly bookkeeping, filings, payroll and reporting - run by a team that already knows your structure because we built it. Traditional or crypto-native.

πŸ“¦ What is included

What you actually get.

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Monthly bookkeeping

Transactions categorised, reconciled and closed monthly - not scrambled together at year end.

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Tax filings & registrations

Corporate tax, VAT and local filings prepared and submitted on schedule in each jurisdiction.

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Payroll

Salary processing, contributions and payslips, including cross-border contractor arrangements.

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Management reporting

P&L, balance sheet and cash position monthly, in a format you can actually make decisions from.

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Audit support

When an audit is required, your records and schedules are already in the shape auditors want.

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Investor-ready reporting

Reporting packs that stand up to investor diligence - because messy books cost you in a round.

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Crypto accounting desk

Token treasury, staking rewards, token compensation and on-chain reconciliation. See our crypto accounting service.

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Compliance calendar

Every deadline tracked across every entity you hold with us.

πŸ›£οΈ How it works

The process.

1
Onboarding & cleanup

We take over your existing records, reconcile what's there and fix what isn't. This first pass is often where the real value shows up.

2
Connect your sources

Bank feeds, payment processors, invoicing tools and - where relevant - wallets and exchange accounts.

3
Monthly close

Books closed on a fixed monthly rhythm, with a reporting pack delivered to you.

4
Filings on schedule

Tax and statutory filings prepared and submitted ahead of deadline, not on it.

5
Quarterly review

A conversation about what the numbers actually mean and what's coming.

πŸ’¬ Quick answers

Short version.

No. We take on existing entities regularly, including ones formed elsewhere. Onboarding usually starts with a cleanup pass.

We work with the mainstream cloud platforms and match what you already use where possible. For crypto we layer specialist reconciliation tooling on top.

That's the point of us. Group structures across our six jurisdictions are routine - one team, one reporting pack, consolidated view.

Where audit is required by the jurisdiction or your investors, we prepare the schedules and work directly with the auditors. Clean monthly closes make this straightforward.

Want this handled?

One short form. We come back within a business day with scope and an itemised quote.

Get your plan β†’