
Assessment of accounting configuration, chart of accounts, close processes, and reporting within the entity's existing system environment.
Review of account structure, permissions, reporting, and accounting integrations against business requirements.
Support for reporting, reconciliations, and data flows across branches or entities within an agreed scope.
Assessment of accounting and data readiness for integration, coordinated with the system provider and the entity's technical owner.
Review of account configuration, permissions, posting and close processes, and reporting within a defined scope.
We connect each observation to a data source, configuration, or process and explain its impact and available management responses.
Design or reorganisation of the chart of accounts to suit the business, reporting needs, and management responsibilities.
Scope may include account definitions, cost centres, usage rules, and a transition plan based on data and system readiness.
Review of accounting data and processes relevant to e-invoicing and phased integration requirements.
Technical implementation and final compliance depend on the solution provider, taxpayer environment, and phase requirements notified by ZATCA; AMK's role is defined in a clear scope.
Practical training linked to defined processes such as data entry, reconciliations, close, and reporting.
Training content is defined after assessing permissions, processes, recurring issues, and each user's responsibilities.