HSJ & Associates stands as one of the most trusted names in global MYOB accounting, relied upon by international businesses for accurate, compliant, and cloud-powered bookkeeping. Under the leadership of CA. Harshit Jain, who holds over 10+ years of worldwide experience in MYOB automation, financial reporting, multi-currency accounting, and global tax compliance, we bring an exceptional blend of precision, technology, and accounting intelligence for companies across multiple regions.
HSJ & Associates provides MYOB setup, migration, cleanup, catch-up bookkeeping, reconciliations, payroll, reporting, and GST/VAT/BAS compliance for businesses in Australia, New Zealand, USA, UK, Canada, UAE, Singapore, South Africa, Europe, and India. With strong automation, partner-led review, ecommerce integration, and structured workflows, we deliver tax-ready, scalable MYOB cloud accounting for ecommerce, real estate, hospitality, IT, retail, consulting, and service-based companies globally.
Global MYOB books done right.
Multi-region tax-ready setup.
Smart rules, faster results.
Grows with global firms.
Smooth cloud bookkeeping for global use
Multi-currency reporting support
Automated invoicing & bill tracking
Strong job costing & inventory tools
Ideal for Australia & NZ businesses
Trusted for accurate BAS/VAT filing
Scales easily with growing teams
Led by global expert CA. Harshit Jain
10+ years MYOB accounting expertise
End-to-end setup, migration & cleanup
Weekly/monthly MYOB bookkeeping
AUS/NZ/UK/UAE/USA compliance support
AI automation & third-party integrations
Full outsourced MYOB accounting team
A. Requirements
MYOB login access/invitation
Previous MYOB/Xero/QB/Zoho data
Bank statements (PDF/CSV)
Sales invoices & purchase bills
Customer/vendor list
Opening balances
Payroll sheets (if applicable)
These details help us configure or clean MYOB accurately and start global bookkeeping smoothly.
B. Our Onboarding Process
Analyse business model & region-tax rules
Review existing MYOB data and structure
Identify cleanup/migration needs
Optimise chart of accounts & settings
Connect bank feeds & automation rules
Import and restructure historical data
Begin weekly/monthly bookkeeping cycles
Share monthly reports & compliance review