A specialised offshore partner for US companies and funds
Savitur Solutions LLP, a Chartered Accountants-led consultancy, is a specialised finance and regulatory execution partner for US companies. We pair high-skill offshore capabilities with the rigour expected by US auditors, regulators and investors.
Whether you're standing up a Global Capability Center in India, looking to outsource a slice of your finance function, or trying to fix a fund-accounting back office that's creaking under volume — we've done it before, and we own the outcome.
What Makes Us Different
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Global Leadership Experience
Our senior team has built and run finance functions inside Goldman Sachs, Samsung, Macquarie, KPMG, Vedanta, Jindal, Mitsubishi and UNO Minda. We know what good looks like at scale — and we bring those standards to every engagement.
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Fund Finance & Regulatory Depth
Years of hands-on experience running fund accounting, NAV calculation, waterfalls, SEC reporting, and regulatory submissions for some of the world's most demanding institutions. This is not a generalist team learning on the job.
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Execution Ownership
We're not advisors who hand over a slide deck and walk away. We integrate with your team, take ownership of deliverables, and stay on the hook for outcomes — from day-one bookkeeping through quarter-end close and audit support.
What do we offer?
Five practice areas, fully customisable and combinable. Most clients start with one and expand as trust builds.
All services can be combined or customised to suit your needs.
India Entry & GCC / Captive Setup
From entity structuring to first hires walking through the door — we run the entire India-entry programme so your US team can stay focused on the business.
Entity Setup & Structuring
India subsidiary / LLP / branch office setup
Choose the right structure based on your US parent's strategy, repatriation needs and operating model. We handle the full Companies Act setup, from name reservation to certificate of incorporation.
FEMA, RBI & FDI compliance advisory
Cross-border investments trigger a long list of filings. We map every obligation up front and execute the FC-GPR, ODI, FLA, APR and ECB filings as they arise — so nothing surfaces during diligence years later.
Optimal legal + tax structuring for US parent
We model the tax exposure on the US side (Subpart F, GILTI, FDII, transfer pricing) and the India side (CIT, equalisation levy, BEPS) before structuring the entity — not after.
GCC / Shared Services Setup
End-to-end GCC setup
Strategy through go-live: business case, target operating model, location selection, hiring plan, facility, IT, security, vendors and governance.
Location strategy
Bangalore, Gurgaon, Hyderabad, Pune, Chennai — we benchmark talent depth, cost, infrastructure and regulatory ease so the location matches the function you're moving offshore.
Hiring model & org structure
Pyramid design, span of control, leadership hiring, mid-career sourcing and graduate intake — calibrated to your target run-rate and ramp-up.
Cost benchmarking
Salary bands, fully loaded cost models, real-estate norms and savings vs onshore — so you walk into the boardroom with defensible numbers.
Vendor onboarding
Payroll, HR services, IT infrastructure, security and managed services — we shortlist, evaluate and onboard the right partners and hand over clean contracts.
Setup Execution
Bank account opening
Coordinate with Indian banks for current account, escrow and cross-border banking — including KYC for offshore directors.
Statutory registrations
GST, PAN, TAN, Shops & Establishment, Professional Tax, EPF, ESI and Import/Export codes — sequenced and filed without delay.
Accounting & compliance framework
Chart of accounts aligned to US parent reporting, books policy, monthly close calendar, intercompany framework and audit-ready documentation from day one.
Finance & Accounting Outsourcing
A full-stack offshore finance team — from AP clerks through to controllers and fractional CFOs — operating against US deadlines and US reporting standards.
Transactional Accounting
Accounts Payable
Invoice ingestion, three-way match, approval routing, payment run preparation and vendor reconciliations.
Accounts Receivable
Invoice generation, collections support, cash application, deductions management and AR ageing analysis.
General Ledger Accounting
Journal entries, prepaid and accrual schedules, fixed-asset accounting, intercompany eliminations and month-end close.
Reconciliations
Bank, credit card, intercompany, payroll clearing and balance-sheet account reconciliations — supported by a clean, evidence-backed audit trail.
Financial Reporting
US GAAP reporting
Monthly, quarterly and annual financial statements prepared and reviewed against US GAAP — with footnote support and disclosure schedules.
IFRS reporting
Group-level IFRS reporting for parent entities that consolidate under IFRS, including bridge schedules between local-GAAP and IFRS.
Consolidation & group reporting
Multi-entity, multi-currency consolidation with elimination entries, minority interest, and segment reporting.
Controller / CFO Support
Management reporting packs
Board-ready monthly packs with P&L, balance sheet, cash flow, KPI dashboards and commentary you can read on a phone.
FP&A
Variance analysis, driver-based models, scenario planning and decision-support work for leadership.
Budgeting & forecasting
Annual operating plan, rolling forecasts, cash forecasting and headcount planning — built collaboratively with your business owners.
Fund Accounting & Investment Support
Built specifically for US GPs, family offices and fund administrators who need senior, regulated-experience hands on the books — not a generalist outsourcer.
All Structures Supported
GP / LP Structures
Full back-office for traditional GP-LP structures including capital account maintenance, allocations and investor reporting.
Fund of Funds (FoF)
Look-through accounting, underlying-fund roll-ups and aggregated investor reporting across multiple managers.
Secondaries
Stub-period valuations, cost basis adjustments and reporting for LP-led and GP-led secondary transactions.
Co-invest & SPV Accounting
Single-asset SPVs, co-invest sleeves, and bespoke vehicle accounting with clean carry and fee modelling.
Core Fund Services
NAV Calculation & Investor Reporting
Periodic NAV calculation, investor-level capital account statements, IRR, TVPI, DPI and RVPI metrics — delivered on time, every cycle.
Capital Calls & Distributions
Notice preparation, allocation across LPs, recallable distributions, equalisation, and bank-level execution support.
Management Fees & Waterfall / Carry
Management fee accruals, fee offsets, European and American waterfalls, hurdle and catch-up modelling, carry true-ups.
Performance & Side-Letter Reporting
Performance attribution, GP commitment tracking, side-letter compliance monitoring and bespoke LP reporting.
Regulatory Reporting
Form PF, Form ADV, AIFMD Annex IV, FATCA, CRS, and SEBI AIF returns — prepared, reviewed and filed.
Audit Support
Year-end auditor liaison, PBC preparation, valuation memos and confirmation handling — keeping your audit short, clean and predictable.
Process Transformation & Automation
Beyond efficiency, digitisation allows finance teams to shift focus from transactional tasks to strategic roles such as financial planning, forecasting and performance analysis.
Finance Process Optimisation
We map your current finance workflows, benchmark against best-in-class, and redesign for speed, accuracy and control. Most clients see month-end shrink by 3–7 days within the first quarter.
Automation
RPA, scripted bots, AI-driven document processing and workflow tools deployed where they actually pay back — not as science projects. We pick the simplest tool that works.
System Implementation Support
NetSuite, QuickBooks, Sage Intacct, Xero, SAP, Zoho — implementation, customisation, data migration and post-go-live stabilisation. We've been on every side of these projects.
Regulatory & Compliance Support
Regulatory reporting is complex, time-sensitive and high-risk. With our experience preparing reports for Goldman Sachs, Macquarie and others, we offer expert preparation, data sourcing and submission.
SEC & Other Regulatory Reporting
- Form PF (private fund reporting)
- Form ADV (investment adviser registration)
- Form 13F & 13H (large position reporting)
- Form CRS (customer relationship summary)
- AIFMD Annex IV reporting
- FATCA / CRS classification & filings
- Schedule of Investments and audited financials
Indian Entity Compliances
- GST returns (GSTR-1, GSTR-3B, GSTR-9)
- TDS deductions, deposits and quarterly returns
- Companies Act filings (ROC, AOC-4, MGT-7)
- Annual income tax return & tax audit
- Transfer pricing study & 3CEB filings
- FEMA/RBI filings (FC-GPR, FLA, APR)
- PF, ESI, PT and labour-law compliances
US–India Tax Structuring
- Transfer pricing policy design
- Permanent establishment risk assessment
- Subpart F / GILTI / FDII analysis
- DTAA benefit optimisation
- Equalisation levy and significant economic presence review
- Withholding tax planning on cross-border payments
- Tax residency certificates and Form 10F coordination
A 4-step path to steady-state
01
Scoping Call
30–45 minute call to understand your structure, scale, timelines and the specific finance or regulatory pain points you're solving for.
02
Proposal & Pricing
Within 5 business days, you receive a written proposal with scope, deliverables, team composition, ramp plan and a transparent fee schedule.
03
Transition & Ramp
We document existing workflows, run a parallel period if needed, and gradually take ownership of deliverables under a defined SLA framework.
04
Steady-State Run
Monthly close, quarterly reporting, audit support and continuous improvement — with dashboards, governance reviews and clear escalation paths.
Senior people you'll actually work with

Hena Agrawal
Co-Founder
Seasoned finance professional with nearly 14 years post-qualification experience as a Chartered Accountant (CA) in Controlling, Accounting and Reporting. Leveraging an extensive background in Fund Reporting, Regulatory Reporting, IFRS, US GAAP Reporting, Corporate Accounting, Financial Management and Control, and FP&A.

Vivek Sharma
Co-Founder
14+ years of experience in Consulting, Process Automation and Corporate Finance Leadership with a focus on business strategy, FP&A, Taxation, finalisation of accounts and commercials. Deep operational experience scaling finance teams across multinationals.
Frequently asked questions
How is this different from a generic finance BPO?
We're a CA-led firm staffed with finance professionals who've worked inside the institutions our clients answer to — not a low-cost transaction-processing shop. We own outcomes, not just task lists, and our senior team stays engaged on every account.
What's the typical timeline to stand up a GCC in India?
From signed engagement to a fully operational entity with first hires onboard, we typically deliver in 10–14 weeks. Entity incorporation alone takes 2–3 weeks; the rest is hiring, infrastructure, vendor onboarding and process transition.
Do you support US GAAP reporting end-to-end?
Yes. Our team has prepared US GAAP financials for venture-backed startups, private companies and large multinationals. We're equally comfortable owning the full close cycle or supplementing your in-house controller.
Can you integrate with our existing systems?
Yes — NetSuite, QuickBooks Online, Sage Intacct, Xero, SAP, Oracle, Workday, Bill.com, Concur, Coupa, Ramp, and a long list of niche tools. We adapt to your stack rather than imposing ours.
How do you handle data security and confidentiality?
ISO 27001-aligned controls, MSA-level NDAs, role-based access, MFA-enforced systems, encrypted transmission and on-premise/VPN delivery models when required. We can also operate inside your own systems with named-user access.

