Financial Reporting Support for Accounting Firms | Entry Counts
For Australian accounting firms

Financial reporting support built for accounting firms.

Prepare the report, build a repeatable Xero system or add white-label capacity when your team is stretched.

Your firm keeps the client relationship and professional oversight. Entry Counts supports the work behind it.

SERVICE 01

Outsourced GPFR

Statements, disclosures, controlled drafts and agreed audit support when capacity is tight.

Explore GPFR preparation →
SERVICE 03

AASB 1060

Tier 2 statements and simplified disclosures for eligible for-profit and not-for-profit entities.

View AASB 1060 support →
500+ firms helped400+ Xero implementationsSince 2017Australia-wide support
Choose the right model

Build, outsource—or combine both.

Match the solution to your deadline, reporting volume and internal capability. We can help with one engagement or create a system your team can reuse.

Need it now

Outsource

Best for an immediate deadline, seasonal workload or limited specialist capacity.

Recurring work

Build in Xero

Best when several accountants need consistent templates, mapping and review controls.

Now + next period

Combine both

Prepare the current report, then hand over a repeatable process for future engagements.

Flexible scope

What Entry Counts can handle.

Every engagement starts with agreed deliverables, responsibilities, timing and fees.

Discuss your reporting workload →
Reports
  • GPFR and GPFS
  • AASB 1060 Tier 2
  • SPFR and GPFR systems
Build
  • Xero templates
  • Account mapping
  • Disclosure structures
  • Review controls
Prepare
  • Controlled drafts
  • Preparation queries
  • Approved adjustments
  • Version control
Support
  • Audit queries if agreed
  • Finalisation support
  • Team guidance
  • System handover
Stay inside Xero

Connect client data to a repeatable reporting workflow.

Reduce repeated manual work while keeping professional judgement and review in the process.

01

Ledger data

Start with complete, reconciled client information.

02

Mapping

Connect accounts to reusable report codes and groups.

03

Reporting

Populate statements, comparatives, policies and disclosures.

04

Review

Resolve queries, approve adjustments and control versions.

Xero supports the workflow—it does not determine compliance. Each report still needs the correct framework, entity-specific disclosures and professional review.

How it works

Clear stages from review to handover.

Your firm remains in control throughout the engagement.

  1. Review

    Confirm the entity, requirement, deadline, Xero setup and support needed.

  2. Scope

    Choose preparation, system implementation or both—and define roles and fees.

  3. Provide inputs

    Supply Xero data, the prior report, schedules and reporting instructions.

  4. Prepare or build

    We create the controlled draft or configure templates, mapping and controls.

  5. Review and finalise

    Your firm approves decisions and changes before final delivery or handover.

Entry Counts

Support we provide.

  • Preparation and implementation within scope
  • Information-gap and review queries
  • Controlled drafts and agreed amendments
  • White-label capacity behind your firm
Your firm and the entity

Decisions you retain.

  • Legal reporting and framework decisions
  • Policies, estimates and management approvals
  • Final signing, authorisation and lodgement
  • Independent audit or review arrangements
Firm-firstYou keep the engagement and client relationship.
Build or outsourceUse one-off, overflow or system support.
Xero focusedImprove reporting without another platform.
Controlled workClear inputs, versions and approvals.
Proven experience500+ firms and 400+ implementations.
Pricing

Clear scope before work begins.

After a short review, you receive a proposal covering deliverables, responsibilities, timing and fees.

Book a free review with Donnie
Frequently asked questions

Quick answers for accounting firms.

Not sure which support model fits?

Ask Donnie about your reporting needs →
Can the service remain white-label?

Yes. Communication, branding and file exchange can remain behind your firm.

Can Entry Counts prepare both SPFR and GPFR systems?

Yes. We build repeatable SPFR and GPFR workflows in Xero, subject to each entity’s assessment and review.

Can you prepare AASB 1060 financial statements?

Yes. We support Tier 2 statements, simplified disclosures, controlled drafts and agreed audit support.

Does Entry Counts replace our accountants?

No. We add capacity while your firm keeps professional decisions and the client relationship.

Does Entry Counts audit or lodge the report?

Not automatically. Independent auditors provide assurance, and an authorised party approves and lodges documents.

Can our team reuse the Xero templates?

Yes. Update the reusable system for each client, period and reporting requirement.

Do you work with firms outside Sydney?

Yes. Entry Counts supports accounting firms across Australia.

Add reporting capability

Expand without permanent specialist overhead.

Prepare one report, cover a busy period or build a reusable Xero system.

Book your free reporting review