R S C L L P

Services

Inventory audit

Market Audit & Survey

Fixed Assets Management

Process Outsourcing

Inventory Audit

Stock Accuracy Check
Verifies whether system-recorded inventory matches actual stock levels, ensuring financial accuracy and better warehouse control.
Physical Count Verification
Involves on-site counting of goods to validate internal records, preventing fraud, misplacement, or outdated inventory.
Discrepancy Identification
Detects mismatches between books and reality, helping correct overstock, shortages, and unrecorded movements.
Inventory Valuation Review
Ensures inventory is correctly valued using appropriate methods, affecting profitability and balance sheet accuracy.
Compliance & Reporting
Aligns inventory records with internal policies, statutory norms, and audit requirements for transparency.
Loss Prevention Analysis
Identifies points of damage, theft, or expiry to help improve inventory handling and reduce losses.

Market Audit & Survey

Retail Presence Mapping
Tracks how widely and deeply a product is available across stores, geographies, and retail formats.
Product Visibility Check
Audits shelf positioning, branding compliance, and display quality to ensure strong customer recall and visibility.
Competitor Benchmarking
Compares product pricing, offers, shelf space, and strategies of competitors to gather actionable market intelligence.
Consumer Insights Capture
Gathers feedback from end-users and retailers on product satisfaction, pricing, and preferences for better marketing decisions.
Promo Execution Review
Evaluates whether trade schemes, offers, and branding activities are being implemented correctly at retail level.
On-Ground Surveying
Uses trained auditors to collect store-level data, customer reactions, and local market trends directly from the field.

Fixed Assets Management

Asset Tagging & Tracking
Tags assets with barcodes or RFID and maintains real-time location tracking to avoid loss or misplacement.
Physical Asset Verification
Confirms physical existence and condition of all listed assets through regular checks and reconciliations.
Depreciation Accuracy Check
Ensures assets are depreciated using correct methods and timelines, avoiding under or over-reporting.
Movement & Disposal Logs
Maintains detailed logs for asset transfers, handovers, disposals, or write-offs with complete documentation.
Compliance & Reporting
Ensures that fixed asset records are compliant with accounting standards and audit requirements.
Lifecycle Cost Analysis
Assesses total cost from purchase to disposal, helping optimize replacement cycles and budgeting.

Tax Compliance

GST Audits & Return Filing
End-to-end support for GST filings, reconciliations, and audits to ensure timely compliance and avoid penalties.
2A Reconciliation with Vendor Coordination
Matches purchase records with GSTR-2A and follows up with vendors for mismatches to ensure ITC accuracy.
TDS Reasonability Testing & Outsourcing
Reviews TDS deductions, rates, and payments; offers outsourcing for consistent, error-free tax compliance.
Income Tax Return Filing
Prepares and files accurate income tax returns for businesses, including computation, audit reports, and schedules.
15CB & Other Tax Certifications
Issues CA certificates for foreign remittances, fund transfers, and statutory filings as required by law.
Employee Tax Workshops
Conducts training sessions for staff on TDS, GST, tax-saving, and filing to ensure better internal understanding.

Process Outsourcing

Vendor Reconciliation
Reconciles vendor statements with books to identify pending invoices, duplicate payments, or billing disputes.
Invoice & Expense Processing
Manages vendor invoices and employee reimbursements with proper approvals, validations, and documentation.
Master Review & KYC Verification
Reviews vendor/customer masters and performs KYC to maintain clean and compliant records.
Accounts Payable & Receivable
Handles end-to-end payables and receivables, including invoice booking, tracking, and follow-ups.
Customer Reconciliation
Reconciles customer accounts to identify short payments, credits, or disputes and ensures accurate collections.
Bookkeeping & Manpower Support
Offers remote/full-time support for bookkeeping tasks and temporary staffing during peak periods.

Automation

Invoice Processing Automation
Automates invoice capture, validation, approval, and posting to reduce manual errors and processing time.
Balance Sheet Reconciliation Tool
Provides automated reconciliation of key accounts, improving audit readiness and reducing month-end closing efforts.
Market & Process Audit Automation
Digitizes audit workflows, field data capture, and reporting for faster, paperless market and process audits.
Stock Audit Automation
Our software applications automate various facets of business planning, ensuring alignment with strategic objectives for enhanced efficiency and productivity
GST Automation
Automates GST return preparation, reconciliation, and filings, reducing compliance burden and manual errors.
Business Planning & Analytics Dashboards
Enables automated budgeting, forecasting, and scenario planning to support strategic financial decisions.
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