Accounting Activities
- Complete keeping of company accounts.
- Complete keeping of accounting books.
- Analytical accounting processing.
- Drafting of ordinary or abbreviated financial statements.
- Translation of IAS/IFRS financial statements.
- Drafting of the Consolidated Financial Statements.
- Support in meetings of the control body with possible participation in accounting audits.
- Accounting due diligence processing.
Tax Services
- Complete management of VAT settlements and related obligations.
- Execution of payments via telematic F24.
- Management of tax deadlines.
- Municipal tax management.
- Drafting and electronic submission of the annual VAT return.
- Drafting and electronic submission of the withholding agent declaration.
- Income tax return Model SC equipped with Fiscal Reliability Indexes (ISA).
- IRAP declaration.
- Management of the national tax consolidation and processing of the CNM.
- Various fulfilments at the offices of the Revenue Agency, such as registration of contracts and meeting minutes.
- Processing of tax due diligence.
Corporate and Administrative Services
- Management of active and passive billing.
- Administrative management of contracts with suppliers, customers and third parties.
- Assistance in managing relationships with the advisors involved in the projects.
- Home service.
- Certified e-mail box management (PEC).
- Preparation and drafting of the minutes of the shareholders’ meeting and of the board of directors relating to the ordinary activities of the company.
- Keeping of the company books.
- Management of communications with various entities (Company Register, Antimafia, TE, etc.).
- Employment consultancy and payroll services.
Financial Services
- Ordinary treasury management.
- Management of relations with banking institutions, both for commercial aspects and for project financing.
- Assistance in the management of ongoing loans with companies, with particular attention to compliance with disclosure obligations and contractual financial covenants.
- Drafting of annual budgets and periodic management reports with analysis of the variations between actual and forecast data.
- Drafting and updating of economic-financial plans to provide information to investors and lending banks.
- Preparation of reports for the management of cash forecasts.
- Support in the management of intercompany loans, including interest calculations.