The Transactional team specialize in dealing with sensitive, confidential client data on a daily basis. The focus is to ensure we achieve fully reconciled mailings with a detailed audit trail to pre-agreed service levels. Contracts are closely managed to ensure we keep a supply of all required stocks and that we are able to react appropriately to peaks and troughs in client demands. We manage contracts collaboratively to ensure that our clients are achieving value for money through all aspects of our service delivery process.
Our current work encompasses daily mailings of cheques, statements and invoices, payroll mailings, monthly and quarterly rent statements and pension annuity mailings. Quantities can range from single items through to 100,000 packs.