Services We Offer
Sales Ledger
- Processing and raising sales invoices
- Credit Control
- Allocate payments received
- Account reconciliation
- Issue customer statements
Sales Ledger
- Processing and coding of purchase invoices
- Provide supplier payment run reports
- Make Supplier payments (providing access has been granted to do so)
- Reconcile supplier accounts
- Resolve account queries
Bank
- Reconcile bank statements
- Provide cash flow
VAT & MTD
- Process and submit quarterly VAT returns
- Process & submit quarterly MTD returns
Payroll
- Processing of weekly and/or Monthly payroll
- Submit RTI’s to HMRC and contributions to pension provider
- Advise of PAYE & NI contributions (where access is permitted, arrange payments to HMRC)
- Deal with payroll enquires