All monthly bookkeeping contracts require a pre-authorized debit form to be filled out. Your contracted amount will be withdrawn from your corporate bank account on the 15th (or next business day if the 15th lands on a weekend or stat holiday). If you have a variable rate contract you will be notified by the 10th of the month for your 15th withdrawal. See attached PAD form if you require to set up or change your banking information.
Pre-Authorized Payments Print
Created by: Amanda Birch
Modified on: Thu, Mar 7, 2019 at 10:18 PM
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