Standard
fromBank Rec & IAS
Unlimited Xero support
Review data for errors
Prepare Income Activity Statement
Lodge Income Activity Statement
Liaise with your tax accountant
Reconciliation of any year end amendments required by your tax accountant
Preparation of year end working papers, reconciling balance sheet items to ensure maximum efficiency for your tax accountant (i.e. reducing compliance costs)
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Match receipts & payments
Bank & credit card recs
Premium
fromBank Rec, BAS & Payables
Unlimited Xero support
GST Audit
Prepare Business Activity Statement
Lodge Business Activity Statement
Liaise with your tax accountant
Reconciliation of any year end amendments required by your tax accountant
Preparation of year end working papers, reconciling balance sheet items to ensure maximum efficiency for your tax accountant (i.e. reducing compliance costs)
–
Match receipts & payments
Bank & credit card recs
–
Enter supplier bills
Dext streamline subscription
Quarterly review of your accounts by a certified practising accountant
Quarterly balance sheet reconciliations
Quarterly financial reporting
Prestige
fromBank Rec, BAS, Payables, Payroll & Multi currency
Unlimited Xero support
GST Audit
Prepare Business Activity Statement
Lodge Business Activity Statement
Liaise with your tax accountant
Reconciliation of any year end amendments required by your tax accountant
Preparation of year end working papers, reconciling balance sheet items to ensure maximum efficiency for your tax accountant (i.e. reducing compliance costs)
–
Match receipts & payments
Bank & credit card recs
–
Enter supplier bills
Dext streamline subscription
Monthly review of your accounts by a certified practising accountant
Monthly balance sheet reconciliations
Monthly financial reporting
–
Payment of suppliers, allowing single click authorisation in your bank for payment of all suppliers
Email remittance advice to suppliers
Customer invoice processing
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Payroll management
Single Touch Payroll (STP) compliance
Tracking annual/personal leave entitlements
Tracking long service leave entitlements
Monthly payroll reconciliations
Electronic superannuation payments
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Multi currency transactions
Fixed asset register / depreciation journals
Manage and maintain third party integrations
Manage and maintain third party payment gateways