
It is possible to avoid the expense of having an internal accounting and treasury team. For either a fixed monthly fee, or calculated on a time spent basis, Klako Group provides management with total control over a company’s financial affairs while ensuring quality supervision and compliance. Our smooth handling of your accounting and treasury function facilitates your success by enabling you to focus exclusively on your core competencies.
Outsourcing Services:
Cash Flow & Treasury Management
Our reputation depends on providing full protection and control of our clients’ funds. Trust Klako Group to take care of your cheque payments, cash flow forecasts and cash management. We can also assist with introductions as to where to invest surplus cash, if required.
Management Reporting
Klako Group keeps its clients fully informed of their financial situation. As you would expect from a full service corporate services provider, we prepare profit and loss statements, balance sheets and subsidiary performance reports. All these documents can be provided on a monthly, quarterly or annual basis. Depending on your needs, we will tailor make reports for you covering particular departments, products or areas. We also carry out ratio analysis to give management another way of measuring performance.
Management Control & Evaluation
We can tell you whether your company is meeting its targets – on a daily basis if required. We analyze where performance could be improved and provide proven solutions to common problems. Our long experience in Hong Kong means we can offer many cost savings suggestions to help you achieve or exceed your budget projections. Keeping your costs down and minimizing your risks is a key part of our service.
| Hong Kong: | +852 2345 7555 |
| Shanghai: | +86 21 6391 3188 |
| Shenzhen: | +86 755 8236 4941 |
| Beijing: | +86 10 6539 1263 |