Reconcile all business accounts to ensure our records match up and no transaction gets lost
Assist in Preparation of Business Activity Statements
Creating invoices & Bills Payment
Sending Invoices to the Client
Manage Companies Payroll & Accounts Receivable
Create Cost Disclosure & Adjustments for our Clients Final Payments
Getting the Balances from Legislative Authorities in Australia for the Property that is being sell by
our clients
Communicate to the Banks & Agents if the Loans or Mortgage were approved and if the Deposit has
been paid
Preparing Weekly & Monthly Sales Report & Weekly cash flow
Prepare Contracts and other Documents for our New Clients