Corporate accounting
• General accounting: recording accounting transactions (invoices receivable/payable, first note, etc.)
• Compulsory accounting: preparation and updating of accounting ledgers such as journal and inventory ledgers.
• Reconciliation of accounts: cross-checking financial transactions and verifying account balances
• Financial statements: preparation and analysis of financial statements, including balance sheets and profit and loss accounts.
• VAT obligations: preparing and sending periodic VAT invoices and the annual VAT return
Administration, accounting and treasury
• Cash flow planning and control: monitoring financial income and expenditure to ensure liquidity
• Collection and payment management: coordination of credit transfers, RIBA, RID, MAV and other payment instruments
• Electronic invoicing management, active and passive cycle: management of processes validated by authorised persons
• Financial reporting: preparation of periodic reports for management on performance and financial situation
• Management of relations with banking institutions: opening and management of current accounts, overdraft requests and other operations with banks.
Tax and business consultancy
• Preparation and filing of tax returns: tax returns (Form 730, Modello Unico, etc.)
• Tax planning: strategic advice to optimise the tax burden and take advantage of benefits
• Assistance with the incorporation of companies: choice of the most appropriate legal form and drafting of articles of association
• Assistance with extraordinary operations: mergers, acquisitions, demergers and company transformations
• Tax litigation: legal support in the event of tax audits, assessments or appeals to the competent authorities