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This includes reconciling all bank accounts back to bank statements and any balance sheet accounts you may have such as inter company loan accounts. Prepare year end report packs for your Accountant
Including raising and sending sales invoices, quotes and/or adjustment notes; preparing monthly statements and open invoice reports; set up of auto overdue invoice reminders and contacting late payers on your behalf (debt collection).
Processing invoices, purchase orders and adjustment notes; preparing outstanding payables reports, making bill payments and following up credits and refunds with your suppliers. Record keeping and filing using Hubdoc
Processing weekly, fortnightly or monthly payroll and reporting via STP to the ATO. Prepare and lodge your employees’ superannuation obligations including Reportable Employer Super Contributions. Processing Year end payment summaries, payment summary annual reports and taxable payment reports. Prepare and lodge your monthly and annual pa
Processing weekly, fortnightly or monthly payroll and reporting via STP to the ATO. Prepare and lodge your employees’ superannuation obligations including Reportable Employer Super Contributions. Processing Year end payment summaries, payment summary annual reports and taxable payment reports. Prepare and lodge your monthly and annual payroll tax liability as well as annual workers compensation forms
Provide advice about a BAS provision i.e WET, fuel tax credits, luxury car tax, payment of Fringe Benefits Tax (FBT), PAYG ITI, Taxable Payments Annual reporting system, payroll matters and the superannuation guarantee system
Register or de-register your business for GST, PAYG Withholding and PAYG Income Tax. Liaise with the ATO on your behalf e.g. to organise a payment arrangement or apply for lodgement deferral.
Cash is at the heart of every business, but it’s rarely planned for properly. We want to help you understand what the future of your cash looks like, which is why we’ve partnered with Float. Float offers intuitive, visual cash flow forecasting that anyone can understand, helping you make decisions with confidence. Float specialises in short-to-mid term, accurate, operational cash flow forecasting. It will help you answer questions that plague every business, such as ‘What if that invoice doesn’t get paid in the next five days?’, or ‘How much cash flow am I going to have in the next three months?’ Float connects into your cloud accounting software and combines your data with your predictions to produce a powerful, real-time forecast of your future cash position in the next days, weeks and months.
Provide one on one training on Xero software and how to manage your day to day accounts. Advisory services and implementation of suitable applications that will benefit and streamline your business processes.
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