Customised Service Packages to Suit Your
Business & Your Budget
We understand that no two businesses are the same, so we develop a personalised package to suit
your particular needs to be sure we deliver tailored solutions for your business.
Enquire today to discuss your needs further.
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- Quarterly bookkeeping
- Preparation and lodgement of quarterly BAS
- Entering income and expense transactions (if required)
- Reconciliation of bank and credit card accounts (up to 2 accounts)
- Provision of quarterly Profit & Loss report
- End of financial year processes
- End of financial year data provided to your Accountant
- Process end of financial year adjustments from your Accountant
- Liaise with your Accountant
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Standard Support
- Monthly bookkeeping
- Preparation and lodgement of quarterly BAS and monthly IAS
- Entering income and expense transactions
- Monthly reconciliation of bank and credit card accounts (up to 4 accounts)
- Provision of monthly financial reports (P&L, aged payables and receivables)
- Provision of payroll (includes processing, emailing payslips and payroll reporting)
- Superannuation reporting
- Reconciliation of wages and superannuation
- EOFY preparation and lodgement of PAYG summaries
- End of financial year processes
- End of financial year data provided to your Accountant
- Process end of financial year adjustments from your Accountant
- Liaise with your Accountant
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Premium Support
- Weekly bookkeeping
- Preparation and lodgement of quarterly or monthly BAS and IAS
- Preparation of customer invoices
- Entering and processing the payment of creditor invoices
- Creditor statement reconciliations
- Weekly reconciliation of bank and credit card accounts (up to 4 accounts)
- Provision of monthly financial reports (P&L, aged payables and receivables)
- Provision of payroll (includes processing, emailing payslips and payroll reporting)
- Superannuation reporting
- Reconciliation of wages and superannuation
- EOFY preparation and lodgement of PAYG summaries
- End of financial year processes
- End of financial year data provided to your Accountant
- Process end of financial year adjustments from your Accountant
- Liaise with your Accountant
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Custom Support
- Weekly bookkeeping
- Preparation and lodgement of quarterly or monthly BAS and monthly IAS
- Enter supplier invoices and reconcile statements
- Pay suppliers and send remittances
- Weekly reconciliation of bank, petty cash, cash draw, float and credit card accounts
- Entering stock balances
- Provision of monthly financial reports (P&L, aged payables and receivables)
- Provision of payroll (includes processing, emailing payslips and payroll reporting)
- Superannuation reporting
- Reconciliation of wages and superannuation
- EOFY preparation and lodgement of PAYG summaries
- End of financial year processes
- End of financial year data provided to your Accountant
- Process end of financial year adjustments from your Accountant
- Liaise with your Accountant
- Email and telephone support
Payroll Only Package
You may be a business that only requires a payroll specific service, we can provide this tailored to your specific business needs.
- Provision of payroll (includes processing, emailing payslips and payroll reporting)
- Superannuation reporting
- Reconciliation of wages and superannuation
- EOFY preparation and lodgement of PAYG summaries
- Setting up SuperStream
- Preparing and lodging IAS with the ATO