Discrepancies between digital records and physical inventory can lead to significant financial leakage. Our independent stock count verification services provide an objective view of your inventory levels. We help Omani businesses eliminate “shrinkage” and ensure that their balance sheets reflect reality.

Inventory Truth

We conduct systematic physical counts that reconcile your warehouse data with your accounting system. This process identifies lost, damaged, or obsolete stock immediately.

Stock represents a massive portion of working capital for many businesses in Oman. Our team employs rigorous verification methods, including “blind counts” and bar-code scanning, to ensure every item is documented. We analyze variances, investigate discrepancies, and provide management with a detailed report on stock health. This objective oversight is essential for internal controls and satisfies the requirements of external auditors during annual reviews.

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Blind Count Method

We count without pre-existing lists to ensure total objectivity.

Variance Analysis

Reporting on the gaps between system data and physical stock.

Stock Review

We identify slow-moving or damaged items for write-offs.

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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.

Fixed Asset Assessment

Assess Asset Value.

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

Cash Count

Count Cash Balances.

We conduct scheduled cash counts, reconciling balances against recorded flows for robust internal controls.

MIS Reporting

Deliver Custom Reports.

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

Commitment to Control

Zero Tolerance for Discrepancies.

We provide the oversight needed to secure your inventory and optimize your supply chain.

  • Independent Verification: An unbiased third-party view of your warehouse assets.

  • Audit Support: Documentation that meets the highest standards for statutory audits.

  • Operational Insights: Identify patterns in stock loss to improve warehouse security.

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