service details

Accounting Outsourcing for Australian CPA & Accounting Firms

Scale your accounting production without compromising quality,compliance, or partner oversight. 10th House delivers structured offshoreaccounting teams that operate within your systems, follow your workflows, andproduce work your partners can sign off with confidence.

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THE PROBLEM
Why Australianaccounting firms are stretched and why offshoring often makes it worse

You're producing more work with the same team, or fewer.Hiring locally is slow, expensive, and increasingly competitive. BAS season,EOFY, and SMSF deadlines compound the pressure every quarter.

Many firms have tried offshore support and found it lacking —inconsistent output, poor communication, files that need rework, and a lack ofgovernance that puts reputation at risk.

The problem isn't offshoring itself. It's offshoring without astructured operating model behind it.

WHAT WE DO
Structuredoffshore accounting delivery — built around your firm

10th House operates your accounting production workflows fromIndia with the same precision, structure, and compliance mindset you expectlocally. Every offshore team member works exclusively for your firm, on yoursystems, aligned to your chart of accounts, templates, review structure, andcompliance requirements.

We don't place staff and walk away. We engineer the operatingmodel first — mapping workflows, defining SOPs, setting quality checkpoints —then we staff and manage within that structure.

Why firms choose 10th House

Our approach is to built the backend in a structured way, allowing leadership teams to focus on growth, innovation, and client outcomes. By redesigning how work is executed and governed, we help organisations strengthen delivery while maintaining control and consistency as they scale.

SCOPE OF WORK
What your offshoreaccounting team handles
Bookkeeping & Daily Accounting
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Bank feed reconciliation
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Accounts payable and accounts receivable
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Credit card reconciliation
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Ledger clean-up and coding consistency
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Matching and categorising transactions to your COA
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Documentation tracking and follow-up
BAS / GST Preparation Support
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GST coding checks
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Reconciliation of GST collected and paid
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BAS preparation support aligned to ATO requirements
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Review-ready workpapers for onshore accountants
Payroll Support
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Payroll data entry and timesheet validation
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Leave and entitlement record updates
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STP-aligned record preparation
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Superannuation contribution tracking
EOFY & Management Reporting
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Reconciliation of all major accounts
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Working paper support and review pack preparation
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Templates and checklists aligned to CA/CPA standards
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Monthly reporting packs and variance analysis support
HOW WE OPERATE

One integratedoperating model between Australia and India

STEP 01.
Onboarding & Workflow Mapping
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STEP 02.
Team Design & Staffing
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STEP 03.
Go Live & Stabilisation
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STEP 04.
Continuous Improvement & Scaling
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Software & Compliance Alignment

Your offshore pod works entirely within your

PERFORMANCEOUTCOMES

What Australianaccounting firms consistently achieve

40–60% faster turnaroundon bookkeeping and BAS workflows
35–55% reduction inerror rate through SOP-driven production
5x–10x increase inpartner review capacity
30–70% reduction in costto serve per client
Predictable deliverythrough EOFY and BAS cycles
WHY 10TH HOUSE

Governance-first.Not just offshore staff

Australian-registered and governed under Australiancorporate law
Exclusive teams no shared pools, no dilutedaccountability
 Role-based access controls and data-security protocolsbuilt for financial services
SOP-driven workflows aligned to ATO and CA/CPAstandards
Defined reporting cadence, escalation paths, andperformance tracking
Frequently asked questions

Insightful answers to all your key questions

1. Do you replace our internal accounting team?
2. How do you ensure accuracy and quality at scale?
3. Is your approach suitable for regulated environments?
4. Do partners retain visibility and control?