What Salitix do

Our services: 

Salitix review historic commercial trading arrangements and promotional activity by trading year to identify:
  – Overpaid and miscalculated funding 
  – Overrider amounts paid in error 
  – Fees paid in error for activity that did not take place 
  – Sales invoice pricing errors 
  – Duplicate charges 
  – VAT errors 

We are delivering: 
• Complete, evidence-based reconciliations of suppliers trading with their Retailer customers which are commercially neutral 
• A service that saves a business time and resource, while helping it to identify ways of working that can help improve margins prospectively 
• A bespoke service which can be tailored to meet precise requirements, appetite and/or needs 
• We contribute £ value either by way of accruals reduced or released, or receipt of cash benefits/credits 
• We work on a contingency basis: which means we only get paid when we deliver a benefit to your business 

When you’re fighting for every penny, whether it be CPI’s, inflationary pressure in the supply chain, or increased trading costs due to Brexit – can you really afford to give your hard earned profit back to your customers… we don’t think so either.

Get in touch to find out how we can help today.

Useful links:

If you think Salitix sounds like a business that your skills and interest would be a good fit with, then send us your CV and any ideas about what you could bring to the business to the following address [email protected]

SAL-deliver

We deliver...

  • Reduced exposure to GFR audit claims
  • We identify claims in your favour that were previously not identified and get them paid to you
  • We protect your commercial relationships by keeping audit claims separate from it
  • Provide insights into best practice
  • Reduce the time and resources otherwise required to manage audit claims
SAL-recon

We reconcile...

We reconcile the sales you make to your Grocery customers and:

  • reconcile the funding charges they make for the promotional activities you have with them
  • reconcile the relevant contracts and/or agreements that Govern your commercial relationship
  • we manage and defend the audit claims presented by their audit teams – the ‘goods for resale’
  • we secure ‘audit protocol’ agreements with the finance/audit team
SAL-gather

We collect...

We collect transform and store key historic trading data for the purpose of reconciling the trading activity it relates to.