can complete your books on a regular basis. Ensure that all control
accounts are reconciled on a regular basis and provide you with regular
reports such as debtor and creditor listings.
requirements come in all shapes, sizes and degrees of complexity. Our
payroll services take the worry away of needing to employ staff with
specialist knowledge. We provide a timely, accurate and flexible service
designed to meet your needs.
The main elements of our service are :
Providing a qualified and experienced payroll team
A helpline facility to respond to your payroll queries
Detailed checking of all input and output
Easy to read reporting which can be tailored to individual needs
Management and application of statutory and legislative changes
Tax year end processing
Processing includes :
New employees and leavers
Input of all data
Calculation of Tax, NIC, SSP, SMP, Tax credits, Court Orders and Student Loans
Year end reconciliations and printing of P60/P35/P14 which can be submitted online.
Security payslips and BACS processing can also be provided
addition to our book keeping we can provide quarterly reconciliation of
vat accounts and production of the vat return which can be submitted on
the clients behalf either by post or online.
Monthly or Quarterly Management Accounts
CONSULTING UK can develop customised management accounts which will
provide the business with timely and accurate information allowing it to
review and control its financial performance. The key to making this
service invaluable is the ability for us to work closely with the client
to tailor reporting requirements to the individual needs.
accounts help the business to focus on making correct commercial
decisions on issues such as funding, risk analysis, performance
improvement. They can be a necessary requirement when banks or venture
capitalists provide funding.
Regular management accounts information also provide the basis for pre year end tax planning opportunities.
limited companies both full and abbreviated accounts are prepared. For
partnerships and sole traders a set of accounts are prepared which can
provide information to banks and HMRC.
Providing Budgets and Cash Flow Forecasts
and cash flow forecasting are essential disciplines for managing
businesses effectively. They also assist business owners and management
to obtain funding via banks or other potential investors. We can assist in the preparation and interpretation of cash flows and budgets
If you require further information in relation to this aspect or any issues covered by this aspect, please email us at email@example.com and one of our team members will contact you soon to discuss your requirements.