Burke Bond Partners can assist you in all aspects of managing your business ranging from taxation and financial reporting to services that can add value to your business such as benchmarking, budgeting and cash flow forecasting.
We specialise in the preparation and lodgement of business income tax returns no matter what your structure, whether it be sole trader, partnership, trust or company.
BAS and Quarterly Reporting
We can prepare and lodge your monthly, quarterly or yearly Business Activity Statements (BAS) and Instalment Activity Statements (IAS). This can also work as a value-add process through updating financial information quarterly while processing the BAS, saving time and money when preparing year-end financial statements.
Financial Reporting and Management
We can provide you with regular or yearly financial reporting and assist in monitoring the income and expenses of your business.
We are also able to help you choose the correct accounting software for your needs and guide you through the process.
Business Structuring and Succession Planning
Let us help you select the ideal structure for your business and your business’ needs. We can also assist you in succession planning for the future.
Benchmarking and Analysis
Through the use of benchmarking techniques, we are able to analyse the performance of your business against similar businesses in your industry. Benchmarking can assist us in finding ways to improve the performance of your business and therefore reduce costs and increase turnover and profitability.
Business Sales and Acquisitions
Interested in purchasing a business or selling your own business? We can help determine the value of a business using a range of valuation techniques as well as prepare specialised valuation reports where required.
Budgeting and Tax Planning
We can assist you in preparing budgets for your business to predict your future income and expenditure. Used in conjunction with actual income and expenditure, we are able to track the progress of your business against budgeted targets. This analysis can help us determine areas of improvement for the business and assist in developing strategies to improve your bottom line.
We can also assist you with tax planning strategies prior to the end of the financial year to ensure tax is minimised.
Cash Flow Forecasting
Cash flow forecasting gives us the ability to predict your future cash inflows and outflows. This information ensures your business will have sufficient funds to cover future obligations. We can also use this in conjunction with actual cash flows to monitor your business’ performance.