on 06-08-2018 04:33 PM
on 06-08-2018 04:33 PM
How and when are fees such as 'Title Information ReSupply' paid. Do I need to make an allowance for this?
on 08-08-2018 12:22 PM
on 08-08-2018 12:22 PM
Information re-supply fees are currently collected via direct debit on the evening of the day of successful lodgement.
The cost does not reflect In the FSS, it is included in your normal invoicing for your PEXA fees.