- Set-up entities on required software.
- Data entry, Bank Coding & Software Conversion.
- Accounts Payable and Receivable.
- Inventory Control.
- Bank and Credit Card Reconciliations.
- Monthly/Year end Account General Ledger/Trial Balance.
- Monthly/Year-end Profit and Loss Statements/Financial Statements Data entry/conversion/analysis/migration.
- Software used: XERO, QUICKBOOK, MYOB, REKON, SAGE, SAASU, BANKLINK, CASHFLOW MANAGER and others.