Outsourced accounting services for every industry we serve.
Global Guru delivers industry-specific financial operations structured workflows, clean controls, and reporting your leadership team can trust. Real estate, hospitality, healthcare, distribution, and more.
- Cleaner books and faster month-end close
- Stronger approvals and full audit trails
- Decision-ready reporting every period
- Scalable support without adding headcount
Outsourced accounting built for restaurants and hospitality brands.
We standardize operations, bookkeeping, and back-office workflows so restaurant groups and hospitality brands maintain financial clarity across every location and concept.
- Clean bookkeeping with category discipline by location
- Vendor bills, approvals, and payments organized
- Timely P&L reporting by concept or franchise unit
Financial operations that keep pace with your growth
We handle day-to-day accounting so your operators stay focused on service, not spreadsheets.
Outsourced property accounting services built for scale.
From AP and bank reconciliations to CAM reconciliation and owner reporting, we support complex real estate portfolios end to end across all asset classes.
- AP workflows and coding consistency across properties
- Bank and credit card reconciliations
- Month-end close support and owner reporting
Who We Serve
We provide the outsourced property accounting infrastructure real estate firms need to grow with confidence. Our clients include:
Property accounting that closes fast and reports clearly
We run the full accounting cycle so your property managers and owners always have accurate, timely data.
Outsourced accounting for food distributors with margin visibility.
High transaction volume, thin margins, inventory risk, rebates, billbacks, and freight variability make in-house accounting difficult to scale. We deliver accuracy, control, and real-time financial visibility.
- AP and AR execution with deduction discipline
- Inventory and COGS controls for margin accuracy
- Close checklist and leadership-ready reporting
What We Handle
Specialized execution built for high-volume distribution rebates, billbacks, inventory controls, and reporting cadence.
- Accounts Payable: invoice processing, PO/receiving match, statement reconciliations
- Accounts Receivable: invoicing/EDI, cash application, aging cleanup
- Month-End Close: accruals, roll-forwards, balance sheet reconciliations
- Inventory and COGS: shrink/spoilage, FIFO/weighted average, reserves
- Rebates and Billbacks: accruals, true-ups, contract compliance
- Pricing and Margin: SKU/customer profitability, freight/fuel impact
- NetSuite, Dynamics GP/BC, SAP B1, Acumatica, QuickBooks Enterprise
- WMS/TMS/EDI integrations including Produce Pro, Aptean, Blue Link
- Structured workflows aligned to controlled distribution operations
Accounting that keeps pace with high-volume distribution
We manage the full accounting function so your finance team gains control without adding headcount.
HIPAA-compliant outsourced accounting for healthcare organizations.
Secure and accurate accounting processes designed for regulated healthcare environments where documentation, audit trails, and compliance are non-negotiable.
- Process rigor with strong documentation and audit trails
- Structured close routines and internal controls
- Leadership-ready financial visibility and reporting
Financial operations built for regulated environments
We apply the documentation discipline and controls that healthcare finance requires at every step.
Outsourced accounting with precision, controls, and transparency.
Structured workflows with strong internal controls, accurate transaction processing, and leadership-level reporting for financial services firms.
- Consistent approvals and full audit trails
- High-accuracy transaction processing discipline
- Reporting that reduces surprises for leadership
Controls and accuracy that financial services demand
We bring the rigor, review discipline, and reporting cadence that investment and financial firms require.
Outsourced accounting for retail and e-commerce businesses.
High-volume transaction processing, inventory reconciliations, and multi-channel financial reporting optimized for modern retail and e-commerce operations.
- High-volume transaction hygiene across all channels
- Inventory and COGS reconciliations that close fast
- Multi-channel reporting that scales with growth
Financial operations built for high-volume retail
We handle the transaction volume and reconciliation complexity so your finance team can focus on growth.
Want predictable finance operations for your industry?
Let us align on workflows, controls, and reporting expectations. Then we execute with consistency every single month.
