Bookkeeping services

Practitioner payments

Whatever method you use to pay doctors we calculate, reconcile and make payments.

Industrial award

Your staff are paid according to their award entitlements.


Your staff are paid correctly and on time.

Daily banking sheet

Daily sheets entered into the accounting system.

Bill payment

We pay your bills just how and when you want them paid.

Medical reconciliations

Reconcile your medical records with your financial records to ensure accuracy.

GST & payroll reconciliations

Make sure all your GST and payroll transactions reconcile.

Internal loan account reconciliations

Ensure all the loan accounts in your practice are allocated correctly in all your records.

End of year reconciliations

Reconciliations to make it simpler and cheaper for your accountant to prepare your Annual Reports.

Bank & credit card reconciliations

We make sure your financial records match what’s in the bank.

Keep the tax office happy

We make sure your reporting and payment commitments to the ATO are on schedule. We also ensure accuracy and timeliness in meeting your obligations for superannuation, payroll tax and workcover.

Keep everyone paid correctly

We make sure your practitioners, staff and suppliers are paid accurately and on time. This is essential to the effective operation of your practice, giving you a trouble-free day that allows you to focus on your patients well-being and growing your practice.