Services
Our Service
Exceptional Services Tailored to Your Needs with Diverse Options and Affordable Prices
Social Security Services
Administrative and Financial Services
Banking Reconciliations
Tax Returns and Compliance Preparation
Economic Feasibility Studies
Tailored Accounting Software Solutions
Development of Financial and Administrative Control Systems
Accounting Services, from Chart of Accounts Setup to Financial Statement Preparation
Collection and Recording of Company Expenses and Liabilities
Company Registration, Liquidation, and Deregistration Services with Competent Authorities
Preparation of All Financial Data
Our Service
Exceptional Services Tailored to Your Needs with Diverse Options and Affordable Prices
Social Security Services
Here, the authorized liaison officer at the Social Security Administration serves as the bridge between the Social Security institution and the establishment. Some of the liaison officer’s
Administrative and Financial Services
Providing comprehensive solutions for recruitment, training, and qualification specifically designed for accountants, available on a contract basis to meet the diverse needs of companies and organizations.
Administrative and Financial Services
Issuing certificates of good conduct and behavior from the department, making arrangements for outstanding amounts, and preparing social security-related reconciliations.
Banking Reconciliations
Our employees request and generate bank account statements for the company, and they organize and reconcile these statements with structured reports.
Tax Returns and Compliance Preparation
Tax returns help companies with the following:
- Legal compliance
- Record keeping
- Cash flow management
- VAT refund claims.
Economic Feasibility Studies
An economic feasibility study encompasses and discusses the following topics:
- Technical Feasibility
- Financial and Economic Feasibility
- Social and Market Feasibility
Development of Financial and Administrative Control Systems
Advanced methods for monitoring accounts in alignment with information technology, along with a customer service system providing account statements. Conducting visits on a daily, weekly, and monthly basis as needed by the company, covering all regions of the kingdom. Generating monthly reports, providing business advice, and regularly presenting comprehensive reports to management, including cash flow reports and cost reduction suggestions.
Accounting Services, from Chart of Accounts Setup to Financial Statement Preparation
This section covers the steps for initiating the use of accounting software and creating the accounting chart that includes lists of account groups arranged in a pattern and style agreed upon between us and the company. Subsequently, these accounts serve as the foundation for daily, weekly, monthly, and annual accounting operations, which, in turn, aid us in preparing financial statements with precision and transparency.
Tailored Accounting Software Solutions
Among the accounting software programs we provide are the following:
- Highly accurate accounting software for precise calculations.
- Easy data transfer and storage capabilities.
- Automates routine tasks such as inventory management, account closures, and reconciliations.
- Generates real-time reports on company sales.
- A means to reduce labor costs by eliminating the need for individuals to handle accounting, auditing, and inventory control tasks.
Collection and Recording of Company Expenses and Liabilities
Following the collection of expenses and liabilities, we detail and organize them, then input them into accounting software through accounting entries. This process includes creating payroll entries, performing bank reconciliations, and subsequently reconciling account statements with customers.
Company Registration, Liquidation, and Deregistration Services with Competent Authorities
Registering, liquidating, and deregistering companies through transactions with the Companies Control Department and license monitoring with the Greater Amman Municipality. Handling clearance certificates with the Income and Sales Tax Department and securing clearance certificates with the Social Security Corporation.
Preparation of All Financial Data
This involves presenting the income statement, general ledger, and audit balance sheet. It also includes reconciling Visa accounts and other applications, managing receivables and payables, organizing payments, and reconciling customer and supplier account statements.
Our Service
Exceptional Services Tailored to Your Needs with Diverse Options and Affordable Prices
Social Security Services
Here, the authorized liaison officer at the Social Security Administration serves as the bridge between the Social Security institution and the establishment. Some of the liaison officer’s
Administrative and Financial Services
Providing comprehensive solutions for recruitment, training, and qualification specifically designed for accountants, available on a contract basis to meet the diverse needs of companies and organizations.
Administrative and Financial Services
Issuing certificates of good conduct and behavior from the department, making arrangements for outstanding amounts, and preparing social security-related reconciliations.
Banking Reconciliations
Our employees request and generate bank account statements for the company, and they organize and reconcile these statements with structured reports.
Tax Returns and Compliance Preparation
Tax returns help companies with the following:
- Legal compliance
- Record keeping
- Cash flow management
- VAT refund claims.
Economic Feasibility Studies
An economic feasibility study encompasses and discusses the following topics:
- Technical Feasibility
- Financial and Economic Feasibility
- Social and Market Feasibility
Development of Financial and Administrative Control Systems
Advanced methods for monitoring accounts in alignment with information technology, along with a customer service system providing account statements. Conducting visits on a daily, weekly, and monthly basis as needed by the company, covering all regions of the kingdom. Generating monthly reports, providing business advice, and regularly presenting comprehensive reports to management, including cash flow reports and cost reduction suggestions.
Accounting Services, from Chart of Accounts Setup to Financial Statement Preparation
This section covers the steps for initiating the use of accounting software and creating the accounting chart that includes lists of account groups arranged in a pattern and style agreed upon between us and the company. Subsequently, these accounts serve as the foundation for daily, weekly, monthly, and annual accounting operations, which, in turn, aid us in preparing financial statements with precision and transparency.
Tailored Accounting Software Solutions
Among the accounting software programs we provide are the following:
- Highly accurate accounting software for precise calculations.
- Easy data transfer and storage capabilities.
- Automates routine tasks such as inventory management, account closures, and reconciliations.
- Generates real-time reports on company sales.
- A means to reduce labor costs by eliminating the need for individuals to handle accounting, auditing, and inventory control tasks.
Collection and Recording of Company Expenses and Liabilities
Following the collection of expenses and liabilities, we detail and organize them, then input them into accounting software through accounting entries. This process includes creating payroll entries, performing bank reconciliations, and subsequently reconciling account statements with customers.
Company Registration, Liquidation, and Deregistration Services with Competent Authorities
Registering, liquidating, and deregistering companies through transactions with the Companies Control Department and license monitoring with the Greater Amman Municipality. Handling clearance certificates with the Income and Sales Tax Department and securing clearance certificates with the Social Security Corporation.
Preparation of All Financial Data
This involves presenting the income statement, general ledger, and audit balance sheet. It also includes reconciling Visa accounts and other applications, managing receivables and payables, organizing payments, and reconciling customer and supplier account statements.