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ADDITIONAL SERVICES

Below are additional services we offer that are not part of our monthly packages. They are once-off type work and are priced accordingly per client.

For these type of services please fill out the application below and we will get back to you if we require any further information and then provide a quote accordingly.

ACCOUNTING SOFTWARE SETUP

Includes setting up your business on a new accounting software of either QuickBooks, XERO or MYOB.  Also includes setting up the chart of accounts, bank feeds and basic training on how to navigate around the programme.

NEW COMPANY SETUP

We will assist with registering you as a new company through ASIC. This includes ACN registration, ASIC certificate of incorporation, member consent forms, share certificates & register of members.

OTHER BUSINESS REGISTRATIONS

- Business name
- GST
- PAYG Withholding
- Tax File Number (TFN)
- Australian Business Number (ABN)

SOCIAL MEDIA & INFLUENCER SETUP

We will assist you in getting the required registrations sorted to be compliant with ATO guidelines. This includes registration for an ABN plus a business name and GST if applicable. We will set you up with a professional invoice system and accounting system to track all activity. This includes the training needed to use the invoice and accounting system. Please note this package only applies to Australian clients.

BUSINESS FINANCIAL PERFORMANCE REVIEW

An in-depth review of your business from a financial performance standpoint and examine prior year financials to see current trends to identify any areas of inefficiency. We will compare the key financial figures from prior year financials and compare them to other businesses within a similar industry to see how your business matches up against them. A report will be produced showing the results and key findings as well as providing brief possible solutions to increase overall business performance.

CASH FLOW & FORECASTING PROGRAM

A cash flow and forecasting programme will be created for your business. The cash flow program will be designed on a weekly basis and will detail what cash is available on hand at any given time for the next 12 months of trading. The forecasting program will be on a monthly basis and built out for the next three years and will include 3-way financial statements of Profit & Loss, Balance Sheet & Cash Flow. It will be an automated system linked to each other that will have an array of variables that are able to be changed and will update automatically. This also includes training of how to use and update the program accordingly.

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