Our Services
From bookkeeping, budgeting, invoices, receivables, payables and payroll, to cash flow forecasting, GST, and income tax planning.
We provide tailored financial and administrative support to your needs.
We also assist with management reporting, KPI dashboards, margin and pricing strategy, growth planning, debt and equity financing, and business or asset acquisitions and divestments.
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Stay compliant and in control with accurate, reliable day-to-day financials.
Includes:
Weekly/monthly bookkeeping
Accounts payable & receivable
Payroll processing (incl. payday filing)
Bank reconciliations & coding
Xero file maintenance
Creating and presenting ‘bank friendly financials’
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No more missed deadlines or IRD stress — we’ve got your back.
Includes:
GST return prep & filing
Tax planning support
IRD liaison and follow-ups
ACC payment tracking & reminders
Payday filing and compliance
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See the road ahead with clear cashflow, budgeting and pricing insights.
Includes:
Budgeting & forecasting
Cash flow planning (12-month view)
KPI dashboards & business insights
Break-even & margin analysis
Scenario planning
Creating and presenting ‘bank friendly financials’
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Strategic financial partnership — without the full-time CFO price tag.
Includes:
Monthly strategy & review sessions
Price, profit & growth planning
Business model design
Funding/loan support & business plans
Succession or exit strategy modelling
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Starting fresh or sorting out a mess? We offer expert, one-off help.
Includes:
New Xero file setups
Catch-up bookkeeping (e.g. 6–12 months)
File tidy-ups & reconciliations
One-off project support (e.g. pricing models, grant budgets)
App & system setup (Dext, Tradify, Fergus, Hubdoc etc.)
Creating and presenting ‘bank friendly financials’