At Shubhankar & Co. (S&C), we understand the unique challenges faced by businesses in developing countries. We support you in building an effective and efficient finance function with a range of accounting, reporting, and analytics services tailored to your needs.
Our experts help you determine, monitor, and disclose financial and non-financial insights for your stakeholders, addressing the CFO’s agenda. We provide CFOs, controllers, treasurers, and audit committees with insights and services needed to comply with evolving financial requirements, ensuring transparency and trust in reporting for better decision-making. We also enhance finance functions with robust financial data analytics and innovative tools.
Our services cover accounting and reporting, transaction accounting, treasury, and corporate governance, helping your business adapt to changing market conditions, demands for greater transparency, and regulatory requirements. By providing innovative support, we aim to inspire confidence and address reporting challenges, helping businesses in developing countries thrive in a dynamic economic and regulatory environment.
Transaction accounting involves recording, analyzing, and reporting financial transactions to ensure accuracy and compliance with accounting standards and regulations.
Why Firms Need It: Accurate transaction accounting is essential for maintaining financial integrity, ensuring regulatory compliance, and making informed business decisions. It helps firms track their financial health, identify potential issues early, and build trust with stakeholders.
How We Can Help: At Shubhankar & Co. (S&C), we leverage our extensive experience of over 25+ years in both private and public sectors and our track record of working with Fortune 500 companies and managing multi-billion dollar projects. Our expert team ensures your financial processes are accurate and efficient, maintaining compliance with regulatory standards and providing precise and reliable data to support your financial decision-making.
Startup investment involves funding new and emerging companies with the potential for high growth. Capital markets, on the other hand, involve trading financial securities like stocks and bonds, facilitating the raising of capital for businesses.
Why Firms Need It: Startup investment is crucial for providing the necessary capital to innovate and grow. For new companies, access to capital markets is essential for raising funds, supporting expansion, and achieving long-term financial growth.
Corporate accounting involves the process of recording, analyzing, and reporting a company’s financial transactions to ensure the accuracy and integrity of financial statements. It encompasses tasks such as managing ledgers, preparing financial reports, and ensuring compliance with regulatory standards.
Why Firms Need It: Effective corporate accounting is essential for maintaining financial integrity, ensuring regulatory compliance, and making informed business decisions. It helps firms track their financial performance, identify potential issues early, and build trust with stakeholders.
Treasury and commodities services involve managing financial assets, liquidity, and commodity risks to ensure optimal financial performance and risk mitigation for businesses.
Why Firms Need It: Effective treasury management and commodities services are crucial for maintaining financial stability, optimizing liquidity, and managing risks related to commodity price fluctuations. These services help firms navigate volatile markets, ensuring they have the resources to meet financial obligations and capitalize on opportunities.
How We Can Help: At Shubhankar & Co. (S&C), we bring over 25+ years of experience in both private and public sectors, managing multi-billion dollar projects, and collaborating with Fortune 500 companies. Our team provides comprehensive treasury and commodities services, ensuring your financial assets are managed efficiently, liquidity is optimized, and commodity risks are effectively mitigated. We tailor our approach to meet the unique needs of businesses in developing economies.
An IPO Ready Strategy involves a comprehensive plan to prepare a private company for an Initial Public Offering, ensuring all necessary financial, legal, and operational frameworks are in place for a successful transition to public ownership.
Meeting regulatory requirements, attracting investors, and demonstrating operational readiness can position your company for growth, increased visibility, and access to capital markets.
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