Accounting & Bookkeeping Solution

Our team at BSG & Co will ensure that bookkeeping & accounting is no more a hassle for you. We will discuss your unique accounting requirements to ensure that we provide you with the reports in the format you require.

The finance and accounting services team at BSG consists of professional accountants, who are highly proficient in using all the major software used in the financial industry such as QuickBooks, Xero, Zoho Books, Net Suite , Dext . , Netsuite and customized ERP software, D

Service Includes:

  • Software Setup and Migration
  • Full cycle Bookkeeping Services which shall include recording receipts and payments.
  • Running Payroll & recording it.
  • Cleanup-Catchup, Multidimensional Reconciliations.
  • Accounts Payable and Receivables Management.
  • Inventory Management, Cash Flow projection & Management.
  • Preparing Financial Statements and Management Reports (includingtracking KPIs, Trend analysis).
  • Preparing Projections and Budgets, Variance Analysis.
  • Support for processing LIHTC recertifications including section 8 and section 42 properties

Staffing Solution

Hire Virtual Bookkeeper & Accountant in India

Our Job

  • Provide General Software Training & Updates.
  • Provide a safe & healthy office environment & infrastructure.
  • Provide top notch infrastrcuture and ensure highest data security standards.
  • Run payroll, invoice the hours worked.

Your Job

  • Provide training on your internal processes & establish a flow of communication.
  • Manage workflow when the employee is unavailable/absent.
  • Record the workflows, processes to ensure continuity in case of a change of hand.


you submit a requirement to us for the job profile, work domain, expertise expected

we do the talent hunt here in India, find relevant resumes for you to video interview & select

Employee signs NDA and can start training & working right away

Auditing services for NPOs in canada
- Asssistance to CPA Firms

Service includes :

  • Full cycle auditing from rollover of data to opening balance check
  • Auditing various Ledgers and preparing workpapers using caseware
  • Passing all needed adjusting entries needed for books
  • Getting the audit file ready for review and signing by CPA