BookCheck Working with Financial Directors


Does any of this sound familiar?

  • The bank doesn't reconcile
  • The input is way behind
  • The bookkeeper is unreliable
  • Opening balances adjustments are missing
  • There are no accruals or prepayments
  • The sales and purchase ledgers are very untidy
  • Producing quality accounts is not feasible
We eliminate all of these issues. We are a 45 person team, established in 1994, focused on locally staffed outsourced Sage or Xero Bookkeeping with Management Accounts, onsite or online, plus a Payroll bureau. We never act as accountants.
Our client size is from a turnover of £200,000 to £20 million. We use fully settled and secure methodology and systems covered by our ISO 9001:2008 accreditation.

How you Can Benefit from Working with BookCheck:


  • Concentrate on the big issues and avoid Bookkeeping with Management Accounts hassle: We produce sound and prompt MI for you, guaranteed always to be both thoroughly checked and issued personally by a qualified accountant
  • Achieve this quality MI much sooner and at lower cost
  • The client improves Cash Flow, making your life easier, by using prompt, quality debtor information
  • Our superb BAR - BookCheck Advanced Reporting will increase your clients' profitability substantially as evidenced by our own clients
  • Eliminate your time wrestling with Excel to produce accounts - we will do that for you, under your control, through our BookCheck Advanced Reporting (BAR)
  • Bind your clients more by referring them to a bookkeeper you can trust for quality, reliability and availability
Why BookCheck?
What's unique about BookCheck is that every set of accounts is both thoroughly checked and then signed personally by a qualified accountant (five in our team) but we never act as 'Year End' accountants who are in fact our largest source of clients. We never handle Year End accounts, Self Assessment, Corporation tax, business advice etc. but we do produce the VAT returns.
We produce the quality Managment Information but we don't use it to sit down with clients to guide or advise - that's your role.
Normally clients handle the whole of the Sales Ledger, Order Processing, Stock Control and we handle the whole of the Purchase Ledger, Bank and Month End. BookCheck only acts if we ourselves have produced all the reconciliations. We never handle client produced draft management accounts and we don't handle Year End only book-keeping. Our placeis as top quality bookkeepers producing sound MI to your specification.
We can be totally trusted in every respect - that's the basis of our professional business.
We refer clients to your service as we never act as FDs. Please contact us to discuss how we could work together to our mutual advantage.