Turn Disorganised Books into a Review-Ready Accounting Record
Resolve backlogs, investigate inconsistencies and rebuild supporting schedules through a structured India-based accounting cleanup team—with every material judgement retained by your authorised reviewers.
A Controlled Recovery of Incomplete or Unreliable Records
Accounting cleanup is a defined project to identify gaps, reconcile control accounts, organise support and prepare correction schedules when the books no longer provide a dependable operational view.
Our team can investigate and prepare remediation work under agreed instructions. The client retains responsibility for accounting policy, tax treatment, estimates, journal approval, posting authority and final acceptance of the cleaned records.
Cleanup Work Organised Around Evidence and Exceptions
The final scope depends on the periods involved, record availability, transaction volume, systems, entities and intended reporting use.
Backlog Bookkeeping
Organise and record delayed activity from available client-approved source documents.
Bank and Card Reconciliation
Compare ledger activity with statements and maintain unresolved-item schedules.
Duplicate and Missing Entries
Identify potential duplicates, omissions and sequencing gaps for review.
Suspense Account Review
Analyse unsupported or temporary balances and prepare an exception trail.
AP and AR Cleanup
Reconcile aging, credits, unapplied receipts, duplicate vendors and stale items.
Opening Balance Support
Compare brought-forward balances with available prior records and schedules.
Chart of Accounts Review
Map inconsistent account usage and prepare rationalisation recommendations.
Supporting Schedule Rebuild
Reconstruct available fixed-asset, accrual, prepayment and control schedules.
Correction Review Pack
Present proposed adjustments, evidence, assumptions and open decisions for approval.
From Diagnostic Review to a Controlled Handover
Each stage makes the basis of the cleanup and any remaining limitations visible.
Diagnose
Review periods, systems, pain points and intended outputs.
Collect
Index ledgers, statements, invoices and available schedules.
Reconcile
Compare control accounts and identify unexplained differences.
Rebuild
Prepare missing schedules and proposed corrections.
Review
Route evidence, assumptions and exceptions to client reviewers.
Handover
Deliver approved workpapers, trackers and continuity notes.
Use Automation to Triage Data—Not Decide Accounting Treatment
AI-assisted tools may help sort documents, identify potential duplicates, suggest matches and prioritise anomalies where appropriate.
Practical Cleanup Capacity for Change, Growth and Backlogs
Prepared Remediation with Authorised Client Decisions
Our support may include
- Diagnostic review and cleanup tracker
- Backlog transaction processing
- Control-account reconciliations
- Supporting schedule reconstruction
- Exception and evidence logs
- Proposed correction review packs
Client responsibilities include
- Accounting policy and materiality
- Tax and statutory treatment
- Estimates and write-off decisions
- Journal approval and posting authority
- Acceptance of limitations and open items
- Final financial reporting sign-off
Continue from Cleanup into a Repeatable Accounting Cycle
Accounting Cleanup Services FAQs
What records can your team help clean up?
Depending on scope, we can support delayed bookkeeping, bank and card reconciliations, AP and AR records, suspense accounts, opening balances, account mapping and supporting schedules.
Can you clean several months or years of backlog?
Potentially. We first assess the periods, transaction volume, systems and source-record availability, then recommend a phased scope with clear priorities.
Will every old difference be resolved?
No responsible provider can promise that. Missing or unreliable evidence may leave some matters unresolved; these are documented and routed to authorised reviewers.
Will your team post cleanup journals?
We may prepare proposed correction schedules. Approval, posting authority and final accounting treatment remain with authorised client personnel.
Can cleanup support a software migration?
Yes. Reconciled balances, clearer account mapping and documented open items can improve migration readiness, while the client approves the final data set.
What is needed to scope the project?
Typically, we review the periods, systems, trial balance, transaction volumes, statements, prior reconciliations, supporting files, known issues and expected deadline.
Ready to Rebuild Confidence in Your Accounting Records?
Share the affected periods, systems, known issues and available records. We’ll assess the cleanup pathway and recommend a practical, review-led scope.
Accounting cleanup and outsourced finance operations support for international businesses.
