Cash remains a significant component of many retail and service operations in Oman. Our Cash Count services provide independent verification of your liquid assets to prevent fraud and ensure internal controls are robust. We act as your “silent guardian,” ensuring that every baiza is accounted for.

Liquid Asset Security

We perform unannounced and scheduled cash counts for petty cash, registers, and vaults. This discourages internal theft and ensures your cash handling procedures are being followed.

Manual cash handling is prone to error and vulnerability. Our team conducts meticulous physical counts and reconciles them against sales reports and bank deposits. We identify “shortages” and “overages” immediately, allowing management to take swift action. Beyond the count, we review your cash-handling workflows to recommend improvements that reduce risk and enhance the security of your physical currency.

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Surprise Audits

Unannounced counts to ensure daily compliance with policies.

Float Management

Verifying the accuracy of opening and closing balances.

Reconciliation Reporting

Detailed logs matching physical cash to sales reports.

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Related Services

Monthly Accounts Finalization

Finalize Accounts Monthly.

We perform month-end reconciliations and adjustments, providing management a finalized view of performance.

Remote
Bookkeeping

Bookkeeping Done Remotely.

Using secure software, we manage your books remotely, giving you real-time access to financial data.

Financial Statement Preparation

Prepare Financial Statements. 

We prepare core financial reports (Position, Income, Cash Flow), complying fully with IFRS and local rules.

Full Bookkeeping Services

Manage Records Completely.

We handle daily transactions and ledgers, ensuring structured, accurate financial data ready for compliance.

Stock Count Verification

Verify Inventory Physically.

We check physical stock against ledgers, minimizing discrepancies and ensuring precise asset reporting.

Fixed Asset Assessment

Assess Asset Value.

We manage asset lifecycles, depreciation, and registers for accurate tax and financial reporting.

MIS Reporting

Deliver Custom Reports.

We design and generate MIS reports, highlighting tailored KPIs and trends for executive strategy.

Commitment to Security

Eliminating Financial Leakage.

We protect your most liquid assets through rigorous, independent verification.

  • Fraud Prevention: Deter internal theft through regular, professional oversight.

  • Policy Compliance: Ensure your staff follows the Sultanate’s best practices for cash handling.

  • Immediate Reporting: Get instant alerts on any discrepancies found during a count.

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