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Bookkeeping for NDIS Providers

In addition to our usual bookkeeping services, Bayside Admin and Bookkeeping also offers a specialised service for NDIS Providers.

Our mission at Bayside Admin and Bookkeeping is to provide seamless financial management solutions to organisations within the NDIS community. We understand the unique challenges faced by NDIS service providers, having worked in the industry since its introduction in 2013. Our comprehensive range of bookkeeping and BAS (Business Activity Statement) services are tailored specifically to meet your needs.

Accurate Data Entry

One of the core services we offer is meticulous data entry of customer invoices, ensuring that all income generated through NDIS services is accurately recorded. Our attention to detail guarantees that no revenue is overlooked, giving you peace of mind and helping you maintain a clear financial picture.

Efficient Supplier Bill and Receipt Management

We take care of data entry for supplier bills and receipts, simplifying the process for you. By capturing and organising all your financial transactions, we ensure that your records are complete and readily available for reference whenever required.

Bank Reconciliations

Balancing your books is essential for accurate financial reporting. Our team of expert bookkeepers performs thorough bank reconciliations, cross-checking your accounts against bank statements to ensure all transactions are properly recorded. This process identifies any discrepancies, allowing us to rectify them promptly and maintain the integrity of your financial data.

Hassle-Free Superannuation

Managing superannuation can be complex and time-consuming. We simplify this process by handling all aspects of superannuation on your behalf. From calculating super contributions to meeting compliance requirements, we ensure your staff's superannuation obligations are met efficiently and accurately.


Navigating the intricacies of BAS and IAS reporting can be challenging. Our team specialises in preparing and submitting your BAS and IAS on time, minimising the stress associated with meeting your tax obligations. We keep up-to-date with the latest regulations, ensuring compliance and avoiding any penalties.

Comprehensive End-of-Month Reporting

To support informed decision-making, we provide detailed end-of-month financial reports. These reports offer valuable insights into your business's financial health, allowing you to monitor key performance indicators, track revenue and expenses, and make data-driven decisions with confidence.

Seamless Xero Setup

As certified Xero advisors, we are well-versed in setting up and optimising Xero, a leading cloud-based accounting software. We can help you harness the full potential of this user-friendly platform, streamlining your bookkeeping processes and facilitating seamless collaboration between our team and yours.

When it comes to NDIS bookkeeping and BAS services, Bayside Admin and Bookkeeping is your trusted partner. Our expertise, tailored solutions, and commitment to accuracy ensure that your financial management is in safe hands. Let our experienced team handle the intricacies of bookkeeping while you focus on your mission of supporting the NDIS community.

Contact us today to discuss your specific requirements and experience the benefits of our friendly and professional bookkeeping tailored to your needs.

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