A core CAC-registered business focus

Accounting & Auditing

Millions Osusu Goddess places financial clarity, disciplined review, reconciliation, and accountable records at the centre of its business identity.

Financial records with purpose

Make financial information easier to understand, verify, and use.

Accounting and auditing form a key part of the business description registered for the brand. The objective is practical: organize financial evidence, reconcile activity, identify exceptions, strengthen controls, and support responsible reporting.

Each engagement must have a clear scope, agreed deliverables, responsible personnel, secure handling of records, and an appropriate review process.

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Accounting services

Build dependable records for everyday decisions.

Service availability and deliverables are confirmed in writing for each engagement.

Record organization

Structure source documents, transaction listings, classifications, account schedules, and supporting evidence so financial activity is easier to follow.

Reconciliation support

Compare internal records with bank, payment-provider, wallet, receivable, payable, or other control balances and document unresolved differences.

Management reporting

Prepare understandable summaries, schedules, movement reports, exception lists, and financial information for management review.

Auditing and review support

Strengthen evidence, controls, and audit readiness.

The work is designed to help identify gaps and prepare records for disciplined review without overstating the level of assurance provided.

Audit readiness

Organize requested schedules, evidence, reconciliations, explanations, and control documentation before a formal review or audit.

Internal-control review

Review process documentation, approvals, access boundaries, record completeness, reconciliation routines, and exception handling.

Exception follow-up

Document unusual movements, missing support, unreconciled differences, control gaps, and agreed corrective actions for responsible follow-up.

Digital audit trails

Accounting discipline is built into the savings platform.

The product records verified payments, wallet movements, contribution obligations, payouts, withdrawals, loans, reversals, administrator decisions, and supporting references so authorized users can trace what happened and when.

Controls that support review

  • Server-verified payment status and unique references
  • Immutable ledger entries and controlled reversals
  • Wallet and ledger reconciliation diagnostics
  • Permission-gated administrator actions and audit logs
  • Downloadable reports and documented exception alerts
See the savings platform
Professional scope

The engagement determines the level of assurance.

Accounting support, record review, audit preparation, internal-control work, and an independent statutory audit are not interchangeable services. The written engagement will state the exact scope, evidence required, deliverables, limitations, and responsible professionals.

CAC registration identifies registered business activities; it is not presented as an audit-practice licence. Website or application reports do not constitute a statutory audit opinion.

Where work requires a statutory audit opinion or another regulated assurance service, it will be accepted, performed, and signed only by appropriately qualified, licensed, and registered professionals where required by applicable law.