End-to-end bookkeeping and reporting, from transaction processing and reconciliation through to statutory lodgement and the monthly pack a committee reads.
From day-to-day transaction processing through to committee-ready reporting and platform migration — the full bookkeeping and accounts-support cycle.
Accounts payable and receivable, bank reconciliation, and multi-entity, multi-currency ledgers kept current and clean.
Income statements, balance sheets, cash flow, and variance analysis prepared and presented for committees and management.
Xero and MYOB migrations — chart-of-accounts mapping, data conversion, and workflow redesign with post-conversion validation.
Accurate GST coding of transactions and clean, reconciled records — prepared to hand to your registered BAS or tax agent for lodgement.
ACNC and DGR compliance, grant reporting, clearing-account design, and governance support for committees and boards.
Dynamic dashboards, PivotTables, PowerQuery, and validated models that turn raw entries into a sub-60-second review.








Open to entry-level accounting, bookkeeping and clerical roles across Greater Perth, and to volunteer finance positions such as not-for-profit Treasurer or committee roles.