Financial Services

  • Setup of Books of Accounts
  • Setup of Bank Accounts
  • Books of Account
  • Monthly Reconciliations
  • Payment of accounts
  • Bank account maintenance for the administration and sinking funds
  • Maintain electronic ledgers and reports
  • Issue levy and other contribution notices
  • Issue Overdue Reminder Notices
  • Financial Reports for Committee Meetings
  • Statutory Registers

 

  • Prepare annual Administrative Fund budget
  • Prepare Sinking Fund budget
  • Prepare the Annual Statement of Accounts
  • Prepare Annual Accounts Reconciliation
  • Auditor’s Statement (if required)
  • Sinking Fund Forecasts
  • Building Insurance Valuations

Each service is designed to be very cost effective and at the same
time offer real value to body corporates

Contact our professional and friendly team and we will guide your every step of the way

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