CONTABILIDAD
Accounting Management in compliance with the Generally Accepted International Accounting Standards, through the recording of operations through an automated system; offering a comprehensive accounting service from billing to the closing of periods through account reconciliation.
Providing support with timely information for decision making for the benefit of your Company.

OUTSOURCING ACCOUNTING ASSISTANCE
- Accounting and Invoicing System
- Accounting Records
- Account Reconciliation
- Issuance of Interim Financial Statements
- Review of Account Statements before Institutions

EXTERNAL GENERAL ACCOUNTING SERVICES
We come to your offices to perform an external service according to your needs.
- Coordinated Visits to your offices, as per required periodicity.
- Accounting Management through our automated system.
- Bank Reconciliation, Accounts Receivable and Accounts Payable.
- Issuance of Interim Financial Statements.
- Information Preparation for the Presentation of Forms.

STATEMENTS AND FORMS
Preparation and Presentation of tax forms according to the characteristics of your company and the obligations acquired by its operational nature.
According to the Directorate General of Revenue (DGI)
- Legal and Natural Income Tax Return
- ITBMS (Tax on the Transfer of Tangible Goods and Services) Forms
- Procurement Reports
- Certificate of Good Standing Requests
According to the Municipality:
- Annual Income Statement
- Certificate of Good Standing Request

ADMINISTRATIVE ACCOUNTING ASSISTANCE FOR PH
Our team will help you, providing you with accounting and administrative assistance support that reinforce internal controls and the management of resources attended by the administration for the operation of your PH, through the following monthly services:
- Accounting Assistance through Automated System.
- Billing.
- Records of Collections.
- Expense Records.
- Reconciliation and Analysis of Accounts Receivable.
- Issuance of Statements of Accounts by Owners.
- Application of Surcharges for Late Payment.
- Reconciliation and Analysis of Accounts Payable.
- Issuance of State of Accounts of Suppliers.
- Bank reconciliation.
- Financial statements.
- Analysis of Monthly Billing vs Collections vs Expenses.
