Sales Order Processing
Subscription Management
Credit Control
Billing and Collections
Reporting
T: +44(0)870 840 7000
E: enquiries@mgtplc.com
Pay and Transactional Services
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All billing and payment processing as well as payment failures are reconciled to the bank account. MGt conducts daily banking reconciliation and can provide over 60 detailed financial reports to clients on a monthly basis, setting out the monthly billing movements reconciled to the transactions through the bank account . Client reports are completed within 7 days of period end. These reports provide financial summary, bank reconciliation and aged debtor analysis as well as revenue assurance for subscriptions.