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Inventory & Asset Verification Services

Independent Stock & Fixed Asset Verification

Independent physical verification and reconciliation of inventory and fixed assets to keep your books accurate and audit-ready.

Overview

What We Offer

Our verification services provide independent, on-site counts and reconciliations of your inventory and fixed assets, confirming that physical holdings match your records and strengthening the reliability of your financial statements.

Challenges We Address

1
Discrepancies between physical stock and records
2
Untracked or misstated fixed assets
3
Weak inventory controls and shrinkage
4
Audit and reporting readiness
5
Resource-intensive manual counts

Solutions

How We Help

Physical Stock Verification
Fixed Asset Verification
Inventory Reconciliation
Fixed Asset Register Review
Inventory Control Assessment

Process

Our Approach

01

Plan

Define scope, locations and count methodology.

02

Count

Conduct independent physical verification on-site.

03

Reconcile

Match counts to records and investigate variances.

04

Report

Deliver findings with control recommendations.

Benefits

Why Choose Our
Inventory & Asset Verification Services

  • Accurate inventory and asset records
  • Reduced shrinkage and loss
  • Audit-ready documentation
  • Stronger internal controls
  • Reliable financial reporting