Bank & Cash Management
Accurate bank reconciliations, cashbook maintenance, bank statement analysis and
detection of unpresented cheques, unmatched payments and reconciliations.
Who should use it
All businesses seeking accurate cash positions and confidence for payments / draws.
Documents required
Monthly bank statements (PDF / CSV)
Bank passbook scans (if applicable)
Copy of cheques / payment advices (if used)
Access to online bank feed (if client allows)
Process & timelines
Daily/Weekly bank feed import or manual CSV upload
Reconciliation (matching receipts & payments) with exceptions flagged
Monthly uncleared cheque / cheque bounce reporting
Deliverables
Reconciliation report with unmatched transactions
Weekly cash summary & bank position
Bank reconciliation certificates for auditor use
Practical notesÂ
We recommend automated bank feeds where possible to reduce manual reconciliation effort and instant flagging of suspicious transactions.
