Bookkeeping & BAS
Messy books mean wrong BAS, wrong GST, and a painful tax return. We reconcile banks, chase coding consistency, and lodge activity statements you can defend—whether we take over fully or just clean up before the accountant signs off.
- Monthly bookkeeping
- BAS review & lodge
- Payroll / STP
- Catch-up & rescue work
In the file
Bank feeds, credit cards, payroll clearing, and superannuation payable reconciled each cycle.
Chart-of-accounts tidy-ups so reports mean something to you, not just to software defaults.
Payroll & STP
Pay runs aligned to Single Touch Payroll, including terminations and unusual allowances where they crop up.