WORKFLOW GUIDE

Returns across a client portfolio

Use the accounting firm view to organise review for each company and return.

Essential steps

  1. 01

    Check companies, periods and required return types.

  2. 02

    Review outstanding documents and errors for each client.

  3. 03

    Confirm available batch operations in a demo and check individual results.

Check before moving on

Work in the correct company and period. Review source documents, amounts and access permissions before posting or submitting.

ANAF returns