Pricing
It’s a tricky thing, isn’t it?
The delicate balance of the value our bookkeeping offers vs. the amount your business can afford, while remaining as profitable as possible.
Here’s our promise to you
We will be fair with our pricing and offer the best service we can. We are confident that your business will greatly benefit from our personal, caring, and professional bookkeeping services. We will be accessible to you and become a valuable member of your team.
Your side of the coin
Be willing to invest in our services to make your business better and work with us to become financially stronger. Yes, there are super cheap ways to manage your books out there.
But, as the old saying goes, you get what you pay for!
If you make the choice to invest in our bookkeeping services, We will make sure it is well worth your investment.
It’s hard to nail down just one price for our bookkeeping services, because our packages are uniquely put together for YOUR specific business needs. Contact us today and let us find out what your needs are and tailor our a services package for your situation and budget.
Our Services
In Control Bookkeeping offer a wide range of services that are tailored to your individual business needs.
Bookkeeping
- Bank
- Bank account reconciliations
- Credit card reconciliations
- Loan and HP reconciliations
- Entering bank payments and transfers
- Purchases
- Entering supplier invoices
- Reconciling to supplier statements
- Bill payments
- Sales
- Customer invoicing
- Ensuring timely payment of invoicing
- Debtor management
- End of financial year
- Prepare end of year accounts for your accountant
- GST reconciliation
- Balance sheet account reconciliations
- Reconcile ATO integrated client account
- Communication with accountant
- Communication with ATO
BAS and IAS Preparation and Lodgement
- Monthly or quarterly
- Reconcile GST account
- Reconcile PAYG
- Reconcile ATO integrated client account
Rescue Bookkeeping
- Accounts three or more months behind
- Overdue lodgements
Software Set-Ups
- Xero
- Hubdoc
- Set up from scratch
- Data migration
- Chart of accounts
- Bank feeds
- Customise forms and templates with your logo and branding
- Sales invoices
- Statements
- Purchase orders
- Remittance advice
- Email templates
- Payroll set up
- Add employees
- Customise payslips
- Setup superannuation
Training
- Bank
- Bank account reconciliation
- Credit card reconciliation
- Entering bank payments and transfers
- Sales
- Entering and sending sales invoices
- Sending statements
- Purchases
- Entering purchases
- Reconciling to supplier statements
- Payroll
- Data entry
- Processing
- Uploading payments
- Debtor collections
Support Packages
- Unlimited email communication
- Email support
- Phone support
- 24 / 48 hour response time
Payroll
- Weekly, fortnightly or monthly processing
- Number of employees per pay cycle
- Number of contractors per pay cycle
- Check employee timesheets
- Entering wages
- Payment of wages via bank transfer
- Payment of wages via ABA file
- Provision of report of amounts due for payment
- Sending of employee payslips
- End of month/quarter
- Reconcile PAYG and superannuation
- Remit superannuation to relevant funds
- End of financial year
- Reconcile PAYG and superannuation
- Remit superannuation to relevant funds
- Prepare employee PAYG payment summaries
- Send PAYG payment summaries to employees
- Submit payment summaries to ATO
- Balance sheet account reconciliations
- ATO integrated client account
- Communication with accountant
Human Resources (HR)
- Search awards and advise
- Prepare job descriptions
- New employee welcome packs
- Review payroll set up
- Payroll audit
- Employee engagement
- Employment contracts
- Individual flexibility agreements
- Enterprise agreements
- Redundancy and terminations
- Award interpretation
- Policies and procedures
- Training and development
Reporting
- Financial reporting
- Preparation of monthly/quarterly/annual reports
- Profit and loss statement
- Balance sheet
- Statement of cashflows
- Management reporting
- Sales reports
- Supplier reports
- Advanced reporting
- Cashflow forecasts
- Budgets
- Special purpose reporting
- Loan amortisation schedules