PAY BY 30TH JUNE 2026 TO RECEIVE A 10% DISCOUNT
With tax time almost upon us, now is the time to have your data input reviewed to make sure everything is correct before submitting your file to your tax agent. Don't risk costly errors and rework.
It doesn't matter what accounting software you use—fundamentally, they all work the same way. Whether you use Xero, QuickBooks, MYOB, or another system, the accounting principles remain identical. I will do a straightforward check of your file to ensure you hand over clean data by:
1. Correct Categorisation: making sure personal expenses aren't mixed in and asset purchases are correctly capitalised rather than included in general expenses.
2. Completed Bank Recs: ensuring your software matches your actual bank statements with no missing or duplicate entries.
3. Zero Mystery Transactions: clearing out any "uncoded" or "suspense" items so your files make perfect sense.
4. GST Code Mismatch Check: scanning for instances where bills containing GST are recorded into account codes that have been incorrectly set up as "GST Free" or "BAS Excluded," which can actively strip away your tax credits.
5. Contact & Supplier Database Cleanup: identifying duplicate supplier contacts (for example, slight spelling variations) created by your team so they can be merged cleanly to fix your purchasing reports.
So why do this? Tax agents are compliance processors. If they have to halt their workflow to untangle messy data entry during the tax rush, it leads to costly rework fees and delayed lodgements.
Let's get your accounts sorted before the tax time rush. Contact me TODAY to book your end of financial year data check. PAY BY 30TH JUNE 2026 TO RECEIVE A 10% DISCOUNT.
With tax time almost upon us, now is the time to have your data input reviewed to make sure everything is correct before submitting your file to your tax agent. Don't risk costly errors and rework.
It doesn't matter what accounting software you use—fundamentally, they all work the same way. Whether you use Xero, QuickBooks, MYOB, or another system, the accounting principles remain identical. I will do a straightforward check of your file to ensure you hand over clean data by:
1. Correct Categorisation: making sure personal expenses aren't mixed in and asset purchases are correctly capitalised rather than included in general expenses.
2. Completed Bank Recs: ensuring your software matches your actual bank statements with no missing or duplicate entries.
3. Zero Mystery Transactions: clearing out any "uncoded" or "suspense" items so your files make perfect sense.
4. GST Code Mismatch Check: scanning for instances where bills containing GST are recorded into account codes that have been incorrectly set up as "GST Free" or "BAS Excluded," which can actively strip away your tax credits.
5. Contact & Supplier Database Cleanup: identifying duplicate supplier contacts (for example, slight spelling variations) created by your team so they can be merged cleanly to fix your purchasing reports.
So why do this? Tax agents are compliance processors. If they have to halt their workflow to untangle messy data entry during the tax rush, it leads to costly rework fees and delayed lodgements.
Let's get your accounts sorted before the tax time rush. Contact me TODAY to book your end of financial year data check. PAY BY 30TH JUNE 2026 TO RECEIVE A 10% DISCOUNT.
Farm and Town Accounting Services, ABN 58 775 836 101
PO Box 456,
Laurieton NSW 2443
Liability limited by a scheme approved under Professional Standards Legislation
PO Box 456,
Laurieton NSW 2443
Liability limited by a scheme approved under Professional Standards Legislation