Specialist NDIS Services

Innovative, high-quality services for disability providers

We handle every accounting and operational function that doesn't require physical presence on-site — so you can scale your NDIS business with confidence.

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NDIS Bookkeeping

Comprehensive bookkeeping that keeps your NDIS records clean and audit-ready. We handle daily transactions, reconciliations, GST/PAYG, accounts payable & receivable, and monthly MIS reporting.

  • check_circleDaily transaction entry
  • check_circleMonthly bank reconciliation & MIS report
  • check_circleGST & PAYG reconciliation
  • check_circleAccounts payable & receivable
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NDIS Bookkeeping
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NDIS Claims

Claim file preparation for NDIA participants, invoice management for plan managers, error reclaiming, reconciliation of claims with received amounts, and 100% NDIA compliance.

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Operational Services

Funding sufficiency calculations, service and tenancy agreement preparation, Centrelink account management, and participant database maintenance.

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Financial Reporting

Monthly Management Information System (MIS) reports, bank reconciliation, and financial data prepared audit-ready for NDIS compliance.

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Not sure which service fits you?

Make an inquiry and send us a detailed list of your requirements — we'll tailor a solution that fits your NDIS business perfectly.