Accounting
Expert financial management for law firms, ensuring compliance and accuracy.
Legal Bookkeeping & Accounting
Enabling confidence and compliance. No matter what type of software system you have, our team of experts will provide the best course of action. Let us take it off your hands.
Weekly / Monthly Trust Bank Reconciliation
A crucial process to ensure your trust account transactions align with bank records, preventing errors and ensuring compliance on a weekly or monthly basis.
Monthly Client Trust Balances
We help maintain accurate and up-to-date client trust balances, ensuring that all client funds are properly accounted for and reconciled each month.
Trust Receipt Book And Payment Cash Book
We manage and maintain a clear record of all trust receipts and payments, ensuring that every transaction is accurately documented for auditing and compliance purposes.
Legal Services Board Statutory Deposit Account
We handle the maintenance and management of statutory deposit accounts required by the Legal Services Board, ensuring full compliance with regulatory standards.
List Of Controlled Money Accounts/Investment Accounts/Power Money
We provide accurate listings of controlled money accounts, investment accounts, and power money, helping to track and manage all client funds with transparency.
Maintain Required Registers Under The Legal Profession Uniform Law Application Act, Rules And Regulations 2014
We ensure your law firm complies with the Legal Profession Uniform Law, managing and maintaining all necessary registers to meet statutory requirements and avoid potential penalties.
Call Us & Learn How Easy Accounting Can Be When You Let Us Take Care of Everything.
The team at the Australian Public Accountants has been handling lawyers trust account consulting, auditing, investigations, and accounting services within the State of Victoria since 2010.
