MR Masood – Zoho Books Bank Reconciliation & Financial Data Management
This project involved organizing, reconciling, and maintaining financial records inside Zoho Books using official Mashreq Neo Biz Bank Statements for multiple bank accounts.
Thousands of banking transactions across AED, USD, and EUR accounts were reviewed, categorized, and reconciled to ensure that every transaction matched the accounting records.
The project focused on improving bookkeeping accuracy, correcting transaction classifications, reconciling balances, and preparing clean financial records for management reporting.
The final outcome provided accurate books, reliable financial reports, and a streamlined accounting system ready for business operations and future audits.
Project Objectives
The primary objectives of this project included:
- Reconciling AED, USD & EUR bank accounts
- Matching bank statements with accounting records
- Categorizing journal entries and expenses
- Correcting missing and duplicate transactions
- Maintaining accurate running balances
- Improving bookkeeping accuracy
Zoho Books Financial Data Cleanup
Multi-Currency Bank Reconciliation
Services Delivered
Throughout the project, our accounting specialists completed:
- Zoho Books Cleanup
- Bank Reconciliation
- Financial Data Cleanup
- Transaction Categorization
- Journal Entry Review
- Expense Classification
- Accounting Process Optimization