CAATS Value Consultancy provides end-to-end offshore accounting, finance, payroll, taxation and compliance support to US-based businesses, GCC parent companies, international subsidiaries and growing organizations.
Our India-based finance professionals work as an extension of your finance and accounting team, supporting daily transactions, weekly activities, monthly close, financial reporting, tax compliance and year-end finalization through structured, technology-enabled processes.
We provide a dedicated point of contact supported by specialized back-office teams, enabling clients to access reliable and scalable finance operations while maintaining strong controls, documentation and reporting discipline. The engagement model can include monthly accounting activities using a checklist-based approach for month-end closure and financial statement preparation.
One Team. Multiple Functions. One Integrated Finance Operation.
Seamlessly operate as an agile extension of your onshore and offshore finance department, eliminating fragmentation across systems and vendors.
Delivering seamless continuity, multi-currency accounting, regulatory discipline, and SLA-backed execution.
Comprehensive general ledger, transactional recording, fixed assets, and US GAAP financial closing tailored for precision and audit readiness.
Daily recording, invoices, fixed assets, ledgers & schedules.
Monthly close, balance sheet reconciliations & reporting.
Bookkeeping and maintenance of books of accounts in accordance with applicable accounting standards.
Structured AP processing and vendor management support from invoice receipt through reconciliation.
Structured verification, approval routing, and General Ledger mapping right from initial invoice inbox monitoring.
End-to-end customer billing schedules, cash flow tracking, payment collection workflows, and automated revenue recognition.
Seamless execution across modern recurring revenue and contract management tools.
Multi-account statement reconciliations, automated transaction matching, investigation of unreconciled items, and monthly accrual balancing.
Structured verification of clearing accounts and multi-tier bank statements to maintain continuous cash accuracy.
End-to-end receipt collection, expense classification, and General Ledger matching for corporate credit cards.
Policy-based audit, expense report validation, automated GL coding, and specialized Navan platform synchronization.
Disciplined amortization schedules, asset roll-forward tracking, and structured checklist-driven financial closure.
Disciplined monthly accounting activities using a checklist approach covering month-end closure, Profit & Loss, and Balance Sheet preparation.
For organizations with multiple entities or GCC / US parent-subsidiary structures, CAATS delivers seamless cross-border reconciliation and transfer compliance.
Ensuring flawless alignment across global headquarters, offshore centers, and regional subsidiaries.
Engagement scope specifically includes intercompany reconciliation between related entities and cross-border compliance involving intercompany transfers.
Decision-ready management dashboards, budget vs. actual analytics, and audit-ready year-end financial statement packages.
Offshore support for Federal, State, Texas Franchise, Multi-State Sales Tax, and strategic entity structuring.
Direct coverage across federal, state, and cross-border statutory requirements.
Multi-jurisdiction sales tax filings, economic nexus monitoring, data reconciliation, and audit notice resolution.
Automated sales tax compilation, threshold tracking, and timely state returns to eliminate penalty exposure across all states.
Offshore back-office support for internal finance teams, external CPAs, and auditors ensuring audit-ready documentation and smooth due diligence.
Schedules & Data Prep
Liaison & Year-End
M&A & Special Scope
Rigorous preparation of audit-ready financials, supporting schedules, and transaction data compilation.
A disciplined execution framework operating seamlessly across daily transactional syncing to structured year-end audit closures.
Continuous processing of daily financial inflows and outflows, real-time transaction recording, and vendor bill ingestion.
Partner with CAATS Value Consultancy — Where accuracy meets accountability and insight drives value.
Contact us today for a consultation.