North Mile BooksNorth Mile Books

Client bookkeeping

Ledgers closed before the day ends

Each evening the North Mile Books team settles reconciliations, late invoices, and expense logs so morning opens clean, write us to book a place on the roster.

North Mile Books
6 core services · 48h invoice follow-up · 30d monthly close · 15+ expense categories

Common questions

The things our readers ask most often.

What bookkeeping work does North Mile Books actually take on?

The team manages monthly reconciliation, chart of accounts, late invoice follow-up, mileage and expense records, payroll basics, and a clean year-end handover to your accountant.

How does the monthly process work once I hire you?

You send source records each month. Staff reconcile accounts, log expenses, chase overdue invoices, and return plain reports. At year end they package the files for your accountant.

How do I learn fees and book a start date?

Write through the site form or listed email. They confirm scope, state fixed fees for your books, and set the first month. Work begins only after you agree in writing.

Who sees my figures and how is the work kept reliable?

A small named team handles your ledger under strict confidentiality. Entries follow standard practice; access stays limited; every month closes with a clear trail you can review.

How do I reach North Mile Books directly?

Use the contact form on this page or the email in the footer. A team member replies within two business days to arrange a short call and next steps.

Practical bookkeeping notes for small teams

Occasional tips on reconciliation habits, invoice follow-up, expense hygiene, and preparing a clean year-end handover.

A clear path from messy books to steady monthly order

1

Discovery call

We learn your tools, bank feeds, invoice habits, and which records your accountant will need at year-end.

2

Chart and setup

We shape your chart of accounts, expense categories, mileage capture, and payroll basics to match how you operate.

3

Monthly cadence

Each month we reconcile accounts, chase late invoices, and log expenses so your books stay current and usable.

4

Handover and review

We prepare a clean year-end package and walk you through what changed so you can book the next cycle with us.

North Mile Books

Our services

Focused areas we publish and research.

01

Bank Line Matching

Every transaction gets paired to invoices or receipts before we lock the month.

02

Overdue Invoice Cadence

We schedule polite follow-ups on late invoices so payments arrive without awkwardness.

03

Expense Coding Rules

Mileage and receipts land in the correct chart-of-accounts categories each week.

04

Accountant Handover Pack

At year end we deliver sorted ledgers, summaries, and backup so filing stays simple.

Dedicated bookkeeping versus squeezed-in DIY

OptionTimelineSupport
Ongoing monthly booksKickoff in 1, 2 weeks, then a fixed monthly close cycleShared status notes after each close and a short check-in call
Invoice follow-up deskSetup within one week, then weekly chase rhythmWritten updates on open invoices and replies logged for you
Catch-up reconciliationTypically two to six weeks depending on backlog depthProgress summaries by account group until balances are current
Year-end accountant handoverScheduled around your filing window, usually three to four weeksPrepared schedules plus a walkthrough call with you and your accountant

Timelines depend on how complete your bank feeds, prior records, and access details are when we begin.

Sort Your Bookkeeping

Share a few details and we will outline fit, scope, and next steps with no obligation.

We reply within one business day

No long-term lock-in · Clear fixed monthly pricing · Accountant-ready year-end files