Accounting and Bookkeeping

Our services include:

  • Bank reconciliations –compare your records with bank statements to make sure all is up to date and correct.
  • Profit & Loss Statements – generated monthly, quarterly and/or annually to report the earnings of your business.
  • Cash flow management – manage your cash flow to ensure you have cash when you need it. This is the most critical aspect of your business.
  • Financial reporting & analysis – important information about the financial state of your business so you can understand whether you are going well or need to change something.
  • Accounts payable & receivable – identify money you owe suppliers and money that is owed to you by your customers.
  • End of financial year processes – take away all the pressure associated with ensuring your books are ready for the end of financial year.
  • Troubleshooting – identify areas in your current accounting systems that can be improved or overhauled.
  • Payroll services – our bookkeepers can provide payroll processing services to ensure your wages are correct.

GST and BAS Preparation and Lodgement

Goods and services tax (GST) is a broad-based tax of 10% on most goods, services and other items sold or consumed in Australia.

If you are a business, you use a BAS to:

  • report and pay the GST your business has collected
  • claim GST credits.

Use our services to make sure your BAS is prepared correctly and lodged on time to avoid penalties and interest charges

MYOB and Xero Data File Set Up

If you want to look after your bookkeeping yourself but don’t know how to set up your bookkeeping software – ask us to help.

We can work together – you can do your invoicing and we will reconcile the bank statements and do the wages.

Or we can do all of the bookkeeping for you.