We enter all your receipts and payments into the software package of your choice and then file all source documents away to ensure they are readily available for internal purposes or, of course, in case of an audit by the Australian Taxation Office.
We then recommend reconciling these entries against your cashbook, cheque book, and/or bank statements to ensure that no entries are missed. We can also perform income and other reconciliations as necessary.
We’re experts at using Xero and related Xero Add-On’s to help you manage the day to day operations of your business.