1Ledger Reconciliation Workflow in New Delhi
We start with a ledger reconciliation workflow that compares books, bank entries, and income records. This catches differences early, which matters in New Delhi when office schedules and monsoon delays can slow later fixes.
2AIS and 26AS Cross-Check in New Delhi
In New Delhi, Next, we cross-check AIS and Form 26AS against the business records. That step helps spot missing credits, duplicate entries, or wrong-period reporting before the return goes to the portal.
3Return Mapping and E-Verification in New Delhi
Then we map the final data into the return form and prepare e-verification. In New Delhi, that helps owners finish filing without extra office visits or repeated document swaps.
4Notice-Ready Record Pack in New Delhi
In New Delhi, We keep a notice-ready record pack with the main figures, source papers, and filing notes. If the business later needs support, the trail is already organized for quick reference.