Cannabis Manufacturing - Process Cannabis AND Payroll with Ease
Paying employees in the cannabis industry can come with a lot of complexity, and since cannabis manufacturing businesses can have just as many if not more workers as some of the biggest traditional manufacturing businesses in the country, the task of running a cannabis manufacturing business might seem impossible.
With Evolve HCM's cannabis payroll solutions, cannabis manufacturers and processing facilities can feel confident that they are compensating employees properly, on time, and accurately, even if they've been around the budding industry for a while.
To learn more about why Evolve HCM is one of the top payroll providers for cannabis manufacturing and processing facilities, take a quick look at our payroll demo video.
Top Payroll Provider for Cannabis Manufacturing
Mobile Access & Employee Self-Service
Banking & Financial Connections
280E & Cannabis Payroll Tax Support
Accurate & Confident Payroll
Payroll Services for Cannabis Manufacturing
While the average manufacturing company can employ the help of any payroll service or software, companies in the cannabis manufacturing space should not just fall in line.
While cannabis manufacturers may face similar challenges to the traditional manufacturing industry, the unique challenges of the cannabis industry require a payroll process that can account for and manage these hurdles.
With cannabis payroll services, cannabis manufacturers can easily sync general ledger processing, and electronically file federal, state, and local taxes, while still leveraging automated payroll management and reporting, the ease of direct deposit, and automated tax filing to maximize 280E deductions and ease the burden of payroll.To back it all up, a team of cannabis payroll experts to help ensure smooth payroll processing, tax filings, deposits, and other areas of cannabis compliance. At Evolve HCM, we help manage:
- Making deposits against all tax liabilities
- Filing all monthly, quarterly, and annual tax returns via e-file or paper
- Balancing quarter-to-date and year-to-date deposits against liabilities to help ensure tax payment accuracy
- Delivering reconciliation summaries and copies of all filed returns
- Generating and filing any amended returns