Administration/bookkeepingFinancial Administration Support – Consultation (Hourly)
R300,00
Setup Process:
- System Access: Client provides access to accounting software (Xero, QuickBooks, Sage, etc.)
- Bank Integration: Set up bank feed connections for automatic transaction import
- Invoice Templates: Create branded invoice templates
- Chart of Accounts: Review and organize expense/income categories
- Procedures Documentation: Establish workflows and approval processes
- Security Protocols: Implement secure file sharing and data handling
Daily/Weekly Workflow:
- Daily: Check for new transactions and receipts to process
- Process expenses: Categorize and input into accounting system
- Invoice management: Create, send, and track invoices
- Payment tracking: Update payment statuses and send reminders
- Weekly: Reconcile bank accounts and prepare summary reports
Tools & Software Used
Accounting Software:
- Xero, QuickBooks Online, Sage Business Cloud
- FreshBooks, Wave Accounting
- Excel/Google Sheets (for simpler setups)
Invoice & Payment Tools:
- Built-in invoicing features in accounting software
- PayFast, SnapScan for South African payments
- PayPal, Stripe for international clients
Document Management:
- Google Drive, Dropbox for receipt storage
- Receipt scanning apps integration
- PDF management tools
Communication Tools:
- Email for payment reminders
- WhatsApp for quick client communication
- Accounting software client portals
Specific Tasks Examples
Monthly Invoice Cycle:
- Generate invoices based on completed work/delivered products
- Send invoices via email with payment terms clearly stated
- Track when invoices are viewed/downloaded
- Send 7-day and 30-day payment reminders
- Update client records with payment status
- Provide monthly receivables report to client
Expense Management:
- Input supplier invoices and categorize (office supplies, marketing, utilities)
- Track business meals and entertainment expenses
- Record vehicle expenses and mileage claims
- Manage subscription and recurring expense payments
- Flag expenses that need client approval before processing
Bank Reconciliation:
- Import bank transactions into accounting software
- Match transactions to existing invoices/bills
- Categorize unmatched transactions
- Identify and resolve discrepancies
- Mark reconciliation as complete
- Generate reconciliation reports
Reporting & Communication
Weekly Reports Include:
- Outstanding invoice summary
- New expenses processed
- Bank reconciliation status
- Cash flow snapshot
- Action items requiring client attention
- This service is perfect for:
- Small business owners who hate admin tasks
- Growing companies outgrowing DIY bookkeeping
- Professionals (consultants, contractors) needing invoice management
- Businesses with cash flow challenges needing better payment tracking
- Entrepreneurs who want to focus on sales, not paperwork
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