Franking account register
See the franking balance before the dividend
Keep each company’s franking credits, debits and running balance together, rather than rebuilding the account at year end.
Included in the base subscription

Published AccountKit product screenshot; the interface may have changed since capture.
Inside the tool
Follow the company’s franking movements
Select a movement to see the context the team needs when reviewing a dividend. Sample entries only.
Selected stage 01
Opening balance
Carry forward the account balance from the prior year.
A starting point for the current period.
Selected stage 02
Credits
Record tax payments and other credit movements.
The running balance updates in the register.
Selected stage 03
Debits
Review credits attached to distributions.
Check the balance before the next declaration.
Interactive demonstration with sample data, based on the AccountKit interface.
Make it your practice
Put this tool to work with your clients
Start a free 14-day trial with your own client list, or see this workflow with the AccountKit team.
