 |
Monthly communication of fiscal information including a packet of standard financial statements, reports of sales, details of accounts payable, accounts receivable, inventory and cash balances. Customized reporting is also available including cost center accounting |
 |
Cash management and implementation of short-term investment options |
 |
Preparation of the year-end tax statement |
 |
Ongoing consultation on local tax issues and their effects on operations |
 |
Preparation and filing of monthly tax statements (VAT, prepayment of income tax, employee personal income tax, subcontracted labor, etc.) |
 |
Preparation of other monthly filings |
 |
Preparation of Central Bank documents for capital contribution, foreign payments, and remittance of profits (or dividends) |
 |
Semi-annual filing and payment of business license renewal application and fees |
 |
Serve as legal & administrative representative |
 |
The use of Puente Sur´s legal address |
 |
Handle all tax audits conducted by the local tax authority |