• Establishing accounting and management control systems using recognised software.
• Preparation of budgets and cash flow forecast.
• Payroll preparation and administration.
• Treasury operations.
• Day-to-day bookkeeping.
• Registered office facilities and access to meeting rooms in our offices.
• Recovery of VAT incurred on business trips to Italy.
• Recruitment advice and assistance, and arrangement of work permits where necessary preparation of monthly and annual accounts, to Head Office in accordance with agreed timetables.
• Liason with auditors where appropriate.