Skip to main content
J&H Consultancy
J&H Consultancy

Business Compliance OS

Professional Accounting & Bookkeeping for Zimbabwean Businesses

Outsource monthly bookkeeping, bank reconciliations, and management accounts — ZIMRA-ready books maintained by qualified accountants in USD, ZWL, or both.

  • Monthly bookkeeping and bank reconciliations
  • Management accounts and cash-flow summaries
  • ZIMRA-ready books for VAT, PAYE, and ITF263
  • Multi-currency (USD & ZWL) ledgers
  • Dedicated accountant and secure client portal
Qualified accountant providing bookkeeping and financial reporting — J&H Consultancy Zimbabwe

Our Process

1

Discovery Call

We review your entity structure, transaction volume, and reporting deadlines.

2

Onboarding

You share bank statements, prior records, and chart of accounts — we set up your workspace.

3

Monthly Processing

We post transactions, reconcile banks, and flag items that need your approval.

4

Reports & Compliance

Receive management reports and filing-ready summaries for ZIMRA and stakeholders.

Service Packages

Choose the level of support that fits your business. Every package is quoted individually — request a personalised quote with no obligation.

Bookkeeping

Personalised quote

Essential monthly books for micro and small businesses.

  • Up to 50 transactions per month
  • Bank reconciliation
  • Monthly trial balance
  • Email support
Request a Quote
Recommended

Business

Personalised quote

Full accounting with management reporting — most popular.

  • Up to 200 transactions per month
  • Management accounts & cash flow
  • ZIMRA-ready summaries
  • Dedicated accountant
  • Client portal access
Request a Quote

Growth

Personalised quote

Multi-entity or high-volume operations.

  • 500+ transactions or multiple entities
  • USD & ZWL multi-currency
  • Board-ready reporting pack
  • Priority support & catch-up option
Request a Quote

Frequently Asked Questions

Do you handle both USD and ZWL?+

Yes. We maintain separate or combined multi-currency ledgers based on how you invoice, pay suppliers, and bank — aligned with ZIMRA and your auditor requirements.

Can you clean up books that are behind?+

Yes. We offer catch-up projects to reconcile prior periods before moving you onto a monthly retainer, with a clear timeline and fixed scope.

What software do you use?+

We work with cloud tools your team can access, or structured spreadsheets where appropriate. Onboarding includes a shared folder and portal for document exchange.

Will my books be ready for ZIMRA and tenders?+

We structure accounts so VAT returns, PAYE, and ITF263 supporting schedules are easier to prepare — and we coordinate with our tax team when you need filings done.

Do you also process payroll?+

Yes. Payroll with PAYE and NSSA is available as a separate service or bundled with your accounting package.

Start Accounting Services Today

Apply now or chat with Augustus for instant answers.

Request Accounting Support

Tell us about your books and reporting needs — we will recommend a package, share onboarding steps, and quote within one business day.