Here’s an overview of the services we provide.
Marketing Communications Services
Our Marketing Communications and Campaigns Services include:
Database Development and Maintenance
Market segmentation and positioning
Contact lists building
HTML E-mail Marketing campaigns
Search Engine Marketing (SEM) - Website Strategy
Search Engine Optimization
Tracking and analysis
Print and Multimedia Collateral Creation
Brochures, Flyers, Catalogues
Other corporate communications media
Corporate Identity and Branding
Stationery and Business Cards
HR Manuals and Forms
Social Media Marketing
Artan Holding provides IT solutions for both internal and external clients specifically designed around the business needs:
Network Configuration, Installation & Support
Network Implementation and Administration
Help Desk Support
IP Phone Implementation
Installation of CCTV Cameras
Installation of Satellite System
Finance and Accounts
The Finance and Accounts department plays an important role in helping Artan Holding businesses by providing a comprehensive, centralized accounting service. It also puts in place finance control mechanisms to manage costs and increase profitability.
Its range of services include the following:
Sales and Account Receivable Management
Sales records are tracked periodically within the system through the preparation and issuance of timely invoices which are dispatched to customers. Ageing of Accounts Receivable is likewise monitored regularly.
Payroll Review Management
Prior to payment of company’s payroll, the Finance and Accounts Department undertakes a comprehensive review and evaluation before final approval.
Expenditures and Accounts Payable Management
All expenses and payables are booked and paid on time and in accordance with credit terms. The ageing schedule of Accounts Payable is also monitored periodically Also, proper recording of related long term liabilities such as gratuity and contingent payables is undertaken to ascertain accurate values to include pertinent depreciation.
Banking/Treasury and Assets Management
Bank accounts reconciliation statements are prepared monthly to ensure up to date and accurate bank balances. Cash requirements are monitored periodically and any excess are invested to high yield account deposit for additional income. Proper control and recording of fixed assets are ensured including pertinent depreciation.
Financial Reporting Management
Periodic financial statements including Balance Sheet, Profit and Loss Statement and Cash Flow Statement, with supporting analysis, are prepared to provide management with information to aid decision making.
Finance Assurance Management
This ensures that appropriate finance control is in placed by conducting periodic pre-audit reviews and the evaluation of existing internal control mechanism. External auditor representation and on-site audit support during interim and annual audit is also provided.