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What we do........

FINAAD create financial transactions includes posting information to accounting journals or accounting software from such source documents as invoices to customers, cash receipts, and supplier invoices. We also do reconciliations of accounts to ensure their accuracy. We prepare and lodge BAS/IAS, reconcile Superannuation Account and up to date the liability. We do regular payroll on a monthly, fortnightly and weekly basis.


In relation to the Accounting and project management system, we help you to implement AUTOTASK, a project management system and XERO, MYOB and QuickBook online in relation to the accounting system.