Add only what you need.
Pay only for what you use.
Every add-on works with every plan. No upsell gates. No feature bundling tricks. Pick the modules your business needs and leave the rest.
Payroll
STP Phase 2 compliant Australian payroll. Run pay runs, calculate PAYG withholding, manage superannuation, interpret awards, and track leave across all eight states and territories.
/employee/mo
STP Phase 2 compliant
Single Touch Payroll Phase 2 reporting with disaggregated gross, income types, and country codes. Lodge directly to the ATO.
PAYG withholding
2025-26 tax tables built in. Automatic calculation of PAYG withholding based on employee tax declarations, HECS/HELP debt, and Medicare levy.
Superannuation
12% Superannuation Guarantee with Payday Super readiness for the 2026 mandate. Fund validation via SuperStream. Batch payment via clearing house integration.
Award interpretation engine
Interpret Modern Awards including penalty rates, overtime, public holidays, and shift loadings. Configurable award rules engine.
Leave management
Annual leave, personal/carer leave, long service leave, parental leave, and compassionate leave. All eight state/territory LSL rules with correct accrual calculations.
Payroll tax (all 8 states)
Automatic payroll tax calculation for NSW, VIC, QLD, WA, SA, TAS, ACT, and NT. Correct thresholds, grouping provisions, and monthly/annual lodgement.
Trust Accounting
Immutable trust ledgers for legal practices, real estate agencies, and fiduciaries. Compliant with all eight Australian state jurisdictions. Built to survive an unannounced audit.
/account/mo
All 8 Australian jurisdictions
Trust accounting rules differ by state: NSW, VIC, QLD, WA, SA, TAS, ACT, NT. Airtight handles the variance. Pick the jurisdiction. The rules apply automatically.
Immutable transactions
Trust transactions cannot be edited or deleted once posted. Legally mandated immutability enforced at the database level, not the application level.
Overdrawn ledger hard block
The system prevents any transaction that would cause a trust ledger to go negative. Not a warning. A hard block. Compliance is not optional.
Three-way reconciliation
Reconcile trust ledgers, bank statements, and trial balance simultaneously. Three-way reconciliation runs daily with automatic exception detection.
Bond management
Track rental bonds, security deposits, and held funds with correct interest calculations per jurisdiction. Lodge bonds electronically where supported.
Compliance scoring
A 0-100 compliance score per trust account. Tracks reconciliation frequency, overdrawn attempts, audit log completeness, and regulatory reporting timeliness.
QLD unannounced audit support
Queensland regulators conduct unannounced trust account audits. Airtight maintains audit-ready state at all times. Compliance reports generate instantly. No scrambling.
SMSF
Self-Managed Super Fund accounting with member tracking, investment accounting across 20+ asset types, ECPI engine, and automatic SAR preparation. Everything your auditor needs.
/fund/mo
Member tracking & contribution caps
Track member contributions against concessional ($30k) and non-concessional ($120k) caps. Automatic alerts when approaching limits. Bring-forward rule support.
Investment accounting
Support for 20+ asset types: listed shares, unlisted shares, property, cryptocurrency, collectibles, cash, term deposits, managed funds, ETFs, bonds, and more.
ECPI engine
Exempt Current Pension Income calculation using segregated, unsegregated, and proportionate methods. Correct handling for funds with mixed accumulation and pension members.
Compliance monitoring
Real-time compliance checks against ATO requirements: sole purpose test, in-house asset rules, investment strategy documentation, and trustee declarations.
SAR auto-preparation
SMSF Annual Return pre-populated from your accounting data. Review, adjust, and lodge. Auditor portal provides direct access to supporting documentation.
TBAR quarterly reporting
Transfer Balance Account Report generation for members with retirement phase interests. Automatic event detection and quarterly reporting to the ATO.
Auditor portal
A dedicated read-only portal for your SMSF auditor. Full access to transaction history, investment valuations, compliance reports, and member statements. No data exports. No emailed spreadsheets. Verified access to the source of truth.
Fund Accounting
Venture capital, private equity, and managed fund accounting. Capital calls, waterfall distributions, NAV calculations, and ILPA-compliant LP reporting. Multi-currency fund structures with verified financials.
/fund/mo
Capital calls & distributions
Manage capital call schedules, track commitments vs drawn capital, and process distributions to LPs. Full waterfall calculations with side pocket support.
Carried interest waterfalls
American and European waterfall models with configurable hurdle rates, catch-up provisions, and clawback calculations. GP/LP splits calculated automatically.
NAV calculations
Net Asset Value computation with configurable valuation methodologies per asset class. Daily, weekly, monthly, or quarterly NAV with historical tracking.
LP reporting (ILPA-compliant)
Investor reports following ILPA best practices: capital account statements, fee and expense disclosure, and portfolio company detail.
Multi-currency fund structures
Funds denominated in one currency investing across multiple currencies. Automatic FX gain/loss allocation across LP positions.
Investor portal with verified financials
LPs access a read-only portal showing their position, distributions, IRR, TVPI, and DPI. Every number backed by triple-entry verification.
Property Management
Australian investment property accounting with depreciation schedules, negative gearing calculations, and CGT tracking. Purpose-built for property investors and managers.
/property/mo
Depreciation schedules
Division 40 (plant & equipment) and Division 43 (building works) depreciation. Diminishing value and prime cost methods. Tax depreciation report for your accountant.
Negative gearing tracking
Track rental income against property expenses including interest, repairs, insurance, and management fees. Negative gearing loss calculated automatically for tax returns.
CGT calculations
Capital Gains Tax computation with 50% discount for assets held 12+ months. Cost base tracking including purchase costs, improvements, and holding costs.
Rental income & expenses
Record and categorise all property income and expenses. Separate tracking per property. Rental summary reports aligned with ATO tax return labels.
Tenant management
Track tenants, lease terms, rent amounts, and payment history per property. Overdue rent alerts. Lease expiry notifications.
R&D Tax Incentive
Track eligible R&D activities, log time, and calculate your tax offset. The R&DTI module connects your R&D spending to the ATO claim process.
/mo
Activity register
Maintain a structured register of R&D activities with descriptions, hypotheses, and outcomes. Maps directly to the AusIndustry application form.
Time tracking (4 methods)
Track R&D time via timesheets, project allocation, department-level estimation, or role-based allocation. Flexible methods for different team structures.
Expenditure calculator
Categorise R&D expenses: staff salaries, contractor costs, materials, overheads, and feedstock. Automatic allocation of shared costs based on time tracking data.
Offset engine
43.5% refundable offset for aggregated turnover under $20M. 33.5% non-refundable offset above $20M. Automatic calculation based on your entity financials.
AusIndustry registration
Pre-populate AusIndustry registration forms from your activity register and expenditure data. Streamline the annual registration process.
Grant Discovery
AI-powered grant matching across 780+ monitored sources. Discover grants you qualify for, auto-populate applications with your platform data, and track post-award obligations.
/mo
780+ monitored sources
Federal, state, local government, and private grant programs. Continuously monitored for new opportunities, deadline changes, and program updates.
AI matching engine
Your entity profile, industry, location, and financials are matched against grant eligibility criteria. Ranked by match score and deadline urgency.
Application auto-population
60-80% of grant application fields pre-filled from your Airtight data: entity details, ABN, financials, employee counts, and turnover figures.
Post-award management
Track grant milestones, reporting deadlines, and expenditure against grant budgets. Automatic compliance reminders. Audit-ready grant expenditure reports.
AFSL Compliance
For Australian Financial Services Licence holders. NTA calculations, trail commission management, clawback provisions, and ASIC reporting.
/mo
NTA calculations
Net Tangible Asset calculations updated in real-time. Automatic alerts when NTA approaches licence condition thresholds. Historical NTA tracking for ASIC reporting.
Trail commission management
Track trail commissions by adviser, product, and client. Revenue recognition based on payment schedules. Reconcile against provider statements.
Clawback provisions
Automatic clawback calculation when policies lapse within the clawback period. Track against adviser debit balances. Configurable clawback schedules per product.
ASIC reporting
Pre-populated data for ASIC regulatory returns. Financial condition reports, breach reporting assistance, and compliance audit trail.
Accountant Portal
A dedicated workspace for accounting practices managing multiple clients. Workflow engine, time tracking, ATO lodgement, and AML/CTF compliance. Included free with the Partner Program.
with Partner Program
Multi-client management
Switch between client entities from a unified dashboard. See all client health scores, overdue tasks, and upcoming deadlines in one view.
Workflow engine
4 pre-built workflow templates: BAS/IAS lodgement, year-end close, onboarding, and tax return preparation. Customise templates or build your own.
Time tracking
6-minute rounding for billable time. Timer, manual entry, and project-based tracking. Export to your billing system or invoice directly from Airtight.
ATO lodgement tracker
Track BAS, IAS, and income tax lodgement deadlines per client. Colour-coded status. Automatic reminders before due dates.
AML/CTF Tranche 2 compliance
Upcoming AML/CTF Tranche 2 obligations for accountants. Client identity verification, beneficial ownership records, and suspicious matter reporting.
Client health scoring
Algorithmic scoring based on reconciliation timeliness, bank feed connection status, overdue invoices, and compliance standing. Identify at-risk clients early.
Investor Portal
Share verified financials with your investors through a read-only portal. Every number is cryptographically verified. No more quarterly spreadsheet scrambles. Included with Fund Accounting.
with Fund Accounting
Read-only verified financials
Investors see financial statements backed by triple-entry cryptographic receipts. Not a PDF export. A live, verified view of the source of truth.
Portfolio dashboard
LP-level view showing committed capital, drawn capital, distributions, unrealised value, IRR, TVPI, DPI, and RVPI. Updated in real-time.
Benchmarking
Compare fund performance against configurable benchmarks. Vintage year comparisons. Peer group analysis where data is available.
Alert system
Configurable alerts for capital calls, distributions, NAV updates, and report publications. Email and in-portal notifications.
Data room integration
Attach supporting documents, fund agreements, and supplementary materials. Investors access everything in one place. Version-controlled.
Every module works with every plan.
No feature gates. No forced bundles. Pick the modules your business needs, add them to any plan, and pay only for what you use. Scale up or down anytime.
Ready to see what Airtight can do for your business?
14-day free trial. No credit card required. Every add-on available during trial.