Bath Bookkeeping will work at your place of business at a time that suits you as and when you need us. Or, we can manage your paperwork from our offices keeping everything tidy on your behalf.
Bath Bookkeeping will ensure that your books and the relevant paperwork are up to date for your Bank Manager, Inland Revenue and Customs & Excise.
Bath Bookkeeping will deal professionally and sensitively with your customers on your behalf. We will keep you fully informed of the progress of the recovery and you should get paid much quicker whilst maintaining good customer relationships.
Bath Bookkeeping can offer a confidential service, reacting to changes in legislation quickly and effectively. We can provide all the necessary reports to enable you to keep tight control of your staff costs.
Customs and Excise have huge powers and can enforce very large fines, so this is an area where Bath Bookkeeping can help.
Bath Bookkeeping will tailor the management accounts to your specific requirements in terms of the wording, composition and layout. The objective being that you both understand and use the accounts to improve the profitability and boost the value of your business.
Cash Flow Forecasts
Bath Bookkeeping can produce all your detailed cash flow reports either for your own use or as may be required for lending purposes.