Accounting and Bookkeeping
Our Brochure
Download our brochure to learn more about our financial, auditing, tax, and business consulting services. Get insights into how Finksa.co can support your business with expert solutions tailored for Saudi Arabia.
What is Accounting & Bookkeeping?
Accounting and bookkeeping are essential for maintaining accurate financial records, ensuring compliance, and making informed business decisions. At Finksa, we provide professional accounting services that help businesses streamline their financial operations, reduce errors, and improve financial transparency.
Key Benefits:
- Accurate financial record-keeping
- Improved cash flow management
- Compliance with Saudi financial regulations
- Better financial planning and decision-making
Why Choose Finksa
- Expert Accountants – Qualified professionals with deep industry experience.
- Compliance Assurance – We ensure adherence to Saudi accounting standards.
- Custom Solutions – Tailored bookkeeping and accounting for all business sizes.
- Advanced Software Integration – Support for leading accounting platforms.


It helps track financial health, ensures compliance, and simplifies tax filing.
Yes, we integrate with leading accounting software for real-time financial tracking.
Yes, our services include payroll management, tax filing, and compliance support.
Streamline your financial processes with our comprehensive accounting system services. We’ll set up or convert your system to industry-leading platforms like QuickBooks Online or Zoho, design a tailored chart of accounts, and create custom financial reporting packages. Our experts can operate across various small business software and ERPs, ensuring a solution that fits your unique needs.
Ensure your books are accurate and up-to-date with our meticulous accounting cleanup services. We’ll review your existing financial records, correct any discrepancies, and implement best practices for ongoing maintenance. Our team will optimize your chart of accounts and reporting structures, providing you with clear, actionable financial insights to drive informed decision-making.
Ensure accurate revenue reporting. We design and implement robust sales workflows tailored to your business model. Our experts assess your current practices and recommend IFRS 15 compliant revenue recognition strategies, keeping you aligned with the latest accounting standards. We also build automated connections between your systems for seamless transaction flow, reducing manual errors and saving time.
Let’s optimize your cash flow. We’ll handle everything from generating and sending invoices to providing collections support, ensuring you get paid faster. Our team performs weekly or monthly Point of Sale (POS) reconciliations with your accounting system, maintaining accuracy in your financial records. You can focus on growing your business while we manage the financial details.
Streamline your payables process with our comprehensive AP and expense management services. We handle bill processing, maintain vendor tracking, and perform weekly AP reconciliations. Our team also manages expense-related tasks, including categorizing and syncing credit card transactions, performing monthly reconciliations, and processing employee reimbursements. You’ll have better control over your cash outflows in no time.
We go beyond standard month-end closes to provide deep insights into your business performance. Our team delivers customized financial reporting packages, conducts monthly review meetings to interpret results, and performs off-cycle modeling for strategic planning. We also support due diligence processes with specialized reporting and financial modeling, ensuring you’re always prepared for critical business decisions and growth opportunities.
Ensure your books are always up-to-date and error-free with our meticulous record-keeping services. We capture and organize every financial transaction, providing a clear and accurate picture of your business’s financial health. Our attention to detail helps you avoid costly mistakes and makes tax time a breeze.
Stay on top of your finances with instant categorization of all your business transactions. Our sophisticated system automatically sorts income and expenses, giving you immediate insights into your cash flow. This real-time data empowers you to make informed decisions quickly and confidently.
Receive professional, comprehensive financial statements each month without lifting a finger. We generate balance sheets, income statements, and cash flow reports that give you a clear snapshot of your business’s performance. These reports are invaluable for tracking progress, securing funding, and planning for the future.
Optimize your cash flow with our efficient accounts payable and receivable services. We ensure your bills are paid on time and your invoices are promptly sent and followed up on. This proactive approach helps maintain strong vendor relationships and improves your overall financial stability.
Eliminate discrepancies and catch errors early with our thorough reconciliation services. We regularly compare your books against bank and credit card statements to ensure everything matches up. This process helps prevent fraud, identifies missing transactions, and provides an accurate financial picture.
Access your financial documents anytime, anywhere with our secure cloud-based storage solution. We organize and store all your vital financial records, receipts, and statements in an easy-to-navigate digital system. This not only keeps you organized but also ensures you’re always audit-ready.