Altruist Customer Management India Private Limited

(Erstwhile Vertex Customer Management India Pvt. Ltd.)

Services Offered


e-Governance Services

  • Processing of new Permanent Account Number (PAN) and PAN change request applications.
  • Processing of new Tax Deduction and Collection Account Number (TAN) and TAN change request applications.
  • Acceptance of electronic and physical TDS and TCS Returns
  • Acceptance of Annual Information Return (AIR)
  • Registration by a PAN holder for viewing its annual tax statement (Form 26AS) On an average we get more than 3
    million footfalls
    at our various franchisees for the above work.

KPO Services

  • Financial Services
    • Loan Collectionreceiptreconciliation like for M/s. Fullerton.
    • KYC Documentation for Bill Discounting such as for Deutsche Bank.
  • Audits
    • Inventory Audits - Physical Verification of stocks and assets like for clients Family credit ltd, KKCL (Kewal Kiran
      Clothing ltd. – Brand KILLER JEANS)
    • Process Audits – Branch / Vendor Audits like for M/s. Citibank, CRISIL etc.
    • ATM Cash & Site verification like for RBL Bank, AGS transact technologies Ltd etc
    • Vault Audits for M/s. PRISM payments
  • Due Diligence as is required by Financial sector companies like Western Union, Reliance Securities etc.
    • Location / Address verification through Physical visits.
    • Investment capability verification through Physical visits.
  • Act as Proxies for Custodial Service providers such HSBC, Deutsche Bank, JP Morgan, PNB Paribas, ICICI PRU MF etc.
  • Employee Verification / Address Verification service
  • Surveys –
    • ATM survey for footfalls count like for M/s. PRISM payments
    • Channel & Subscriber Survey Cable operator-wise like for M/s. ZEEL

Some of our customers : Citibank, Deutsche Bank, ICICI PRU, HSBC, SBI-SG global, CRY, CRISIL, Fullerton

e-GSTServices

  • Upload of Sales & Purchase invoices through Excel templates.
  • Auto population as well as manual submission of GSTR 3B.
  • Utilisation of ITC and Cash and Offset Liability for GSTR 3B.
  • Filing of GSTR 3B using DSC.
  • Reconciliation of GSTR 3B data with Sales invoices accepted by GSTN.
  • Filing of GSTR 1 using DSC.
  • Reconciliation of counter party sales invoices (GSTR 2A) with Purchase invoices.
  • Mismatch report download (GSTN wise / invoice wise) in Excel format.
  • e-Way Bill generation: As required for Interstate / Intrastate movement of commodities
  • GSTIN verification: To know the status of your prospective supplier / customer (Search Taxpayer /
    Return Track Status – Single / Bulk Search).
  • Email alerts for mismatch post Reconciliation.
  • GAP Analysis Report: Gap Report will help the Dealer to identify the differences / gaps in the data
    submitted to GSTN in a single report for the entire Financial Year.

Franchisee Advantage:

Benefits of being a part of our network:

  • Partner with the growing professional network*
  • Have an additional source of income
  • Expand your client base

Contact us for

PAN Application Centre

TAN Application Centre

Tax Information Network (T/N) Facilitation Centre

Contact Us