Services
- Set up Accounting Systems & Operating Systems with key controls
- Identifying problems and implementing internal control measures
- Accounts Receivable & Accounts Payable management
- Set up Inventory & Payroll Systems, Stock control, Credit control
- Bank Reconciliation, Credit Card Reconciliation
- Process Payroll, Payroll Reconciliation, Superannuation Reconciliations
- GST / BAS Reconciliations, Superannuation Remittances
- Job Costing, Cost Centre Accounting and Project Costing
- Maintaining Asset Register, Capital Expenditure
- Accruals, Prepayments, Unearned Income calculations & related journals
- Analyse Profit & Loss Account & Balance Sheet and generate key reports
- Budgets, Cash Flows, Sales & Performance Analysis & Ratio Analysis
- Variance reporting, Management reporting, Ad-hoc Financial Analysis
- Year-end Preparation and Reconciliation of all Balance Sheet Accounts
- Audit compliance work and preparation of various work papers & schedules
- Process Documentation, end-user training & support
- Systems Review, Functionality & Capacity Maximization