Bookkeeping & reconciliations
Ledger maintenance, bank and mobile-money reconciliation, exceptions and source-document control.
Accounting & reporting
Bookkeeping, bank and mobile-money reconciliation, close, financial reporting, budgets, cash-flow and finance-control support for organisations and programmes.
Book a Scope Call
Scope and purpose


Ledger maintenance, bank and mobile-money reconciliation, exceptions and source-document control.
Management accounts, year-end schedules, balance substantiation and review readiness.
Operating budgets, cash-flow scenarios and routine financial performance reporting.
Expected deliverables and decisions

Request a scope review
FST will confirm the deliverables, information required, review sequence and responsible professional route.
Book a Scope Call