Bank Reconciliation

When it comes to understanding your financial position, there’s no room for uncertainty. SMEtek’s offshore bookkeeping team ensures all transactions are accurately recorded, categorised, and reconciled – giving you a crystal-clear view of your cash flow.

Achieve accurate, efficient, financial management without overloading your team

Our outsourced bookkeeping services not only save time but also deliver unmatched precision and peace of mind, freeing you to focus on growing your business.

Why choose SMEtek for outsourced bank reconciliation?

At SMEtek, we go beyond outsourcing busy work. Our flexible, secure processes integrate seamlessly into your existing workflow, so nothing is overlooked and nothing disrupts the way you already operate.

Our offshore bookkeeping specialists are as stringent on security as you are – with multiple checks, documented processes, and a dedicated Financial Controller assigned to your account. The result is consistent, high-quality bank reconciliation delivered to your spec, and triple-checked before it reaches you.

How it works:

number 1

Secure data gathering

We safely access your bank statements and transaction records.

number 2

Processing and reconciliation

Every transaction is matched, categorised, and aligned with your books.

number 3

Quality assurance

Each reconciliation undergoes a rigorous triple-check review before delivery.

What our
clients say

“I can’t say enough about my experience working with SMEtek. Their team consistently demonstrates exceptional qualities that set them apart, from hiring and onboarding, to taking on new challenges as the roles grow. The value they offer is immense. They’re not just hardworking and dedicated; they genuinely care about our success. Partnering with SMEtek has been a game-changer for us, and I wholeheartedly recommend them to anyone looking for a dedicated and highly skilled outsourcing partner.”

Trisha Smith, Stage Front Tickets

Frequently asked questions

What is bank reconciliation and why does it matter?
Bank reconciliation is the process of matching your internal financial records against your bank statements to ensure every transaction is accounted for. Regular reconciliation helps prevent errors, detect fraud early, and gives you an accurate picture of your cash position.

How does outsourced bank reconciliation work with SMEtek?
SMEtek securely accesses your transaction data, processes and matches every entry against your books, then delivers triple-checked reconciliations to your preferred format. Your dedicated Financial Controller oversees quality at every step.

Is my financial data secure with an offshore bookkeeping provider?
Security is central to how we operate. SMEtek uses detailed security policies and multiple verification checks to ensure your data is protected throughout the entire process.

What types of businesses use SMEtek’s bank reconciliation services?
We work with small-medium businesses with an in-house finance function and small-medium accounting firms – typically 11 to 100 employees – who need reliable capacity without increasing headcount.

How quickly can SMEtek start managing our bank reconciliation?
We begin with a consultation to understand your workflows and requirements, then assign a Client Success Manager to get you onboarded efficiently. Most clients are up and running quickly with minimal disruption.

Ready to simplify your annual budgeting process?

Contact SMEtek today to discover how our outsourced bank reconciliation services can save you time, improve accuracy, and support your business’s growth.

We believe in transparency and results you can see. SMEtek has helped businesses and accounting firms across industries tackle their toughest challenges.

Explore how we’ve removed their busy work, so your next step feels confident and informed.

We'll remove the busy work. How can we help you?

Book your trial today!

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