Australian Bookkeeping with Xero Accounting Software
CONVERSION BALANCES
-BALANCE SHEET
-FIXED ASSET RECONCILIATION
-PROFIT AND LOSS
-TRIAL BALANCE
TRANSFER DATA TO XERO
-INVENTORY ITEM SUMMARY





ADD EMPLOYEES TO XERO
-EMPLOYEE CONTACT DETAILS


-EMPLOYEE REMUNERATION

BILLS AND EXPENSES
-AGED PAYABLES DETAILS




-INVENTORY ITEM DETAILS




-PAYABLE INVOICE DETAIL




CUSTOMER INVOICES
-AGED RECEIVABLES SUMMARY

-BUSINESS SNAPSHOT


-INVENTORY ITEM DETAILS




-RECEIVABLE INVOICE DETAIL




RUN PAYROLL
WITH ABA FILES AND PAYSLIP (INSERT GOOGLE DRIVE LINK FOR THE REPORTS)**
ABA FILES: https://drive.google.com/drive/folders/1h90jPI90o0hGtNm951GVclGgGtNcCSjH?usp=drive_link,
PAYSLIP: https://drive.google.com/drive/folders/1uVqqKwhOXMuR3uGqJrG0j8DbqN0BX9Pr?usp=drive_link
-PAYABLE ACTIVITY DETAILS





-SUPERANNUATION PAYMENTS

-TRANSACTION LISTING DETAILS


BANK RECONCILIATION
BAS & IAS
INSERT GOOGLE DRIVE LINK FOR THE FULL REPORTS)**



