Overview
Matching your bank statements against your books every period, so there are no surprises.
What We Check
- Every transaction matched line by line
- Unexplained differences investigated
- Bank charges and interest recorded
- Stale or unmatched entries cleared
Process
We start by understanding your current records and requirement, agree a clear timeline, then work through: collect data, process and reconcile, review internally, then report and deliver — with a named contact at every step, not a rotating inbox.
Benefits
- Catches errors and fraud early
- An accurate cash balance at all times
- Smoother, faster audits