Outsourced financial management
We become your
- Organisation and planning of the accounting team
- Cash flow planning
- Banking negotiation
- Search for funding
- Budget control and deviation analysis
- Analytical accounting
- Coordination with external advisors
- Reporting to management, holding company and investors
- International controlling of subsidiaries
- Independent board membership
- Business Plan
- Optimization of the
- Viability Plan
- Strategic Plan
- Coordination of
- Interim management
Business plan well thought-through and reasonable plans, conceived for the entrepreneur and for whoever might invest, whether this might be an investor, a bank or a partner. Getting funding to start is a long path that requires training in a wide range of abilities to overcome many of the phases.
of the economic area
An update of the financial and administrative procedures brings a dynamic aspect to the entire business operation. We usually undertake these projects with the support of ACC10 through the 360° programme.
Defining the project, detailing the costs, forecasting the return on investment, determining cash flow needs.
Defining where we stand and where we want to get, in order to set consistent goals and to build a plan of action that is coherent and economically sustainable.
All our business areas can become the subject of training sessions in companies, business organisations, professional associations or governmental bodies.
Coordination of software implementations
Bridging the gap between the business and the implanter IT equipment so that the new system might become a real boost for the company's management.
Replacing the economic team of the company is not easy. Interim management is a practical solution.
We advise our customers in the recruitment of accounting and financial personnel.
External Financial Management SL
Avda. Torre Blanca, 57
B19 - B20
08172 Sant Cugat del Vallès - Barcelona
+34 935 572 398
For small companies, even start ups.
Standard service [+]
- Preparation of monthly accounts
- Filling of quarterly and annual tax returns
- Preparation of annual accounts for limited companies
- Delivery of monthly accounts closing
- Comparison with monthly budget
- Monthly delivery of collection and payment due dates list
Easily expandable to other services:
- Analytic accounting by points of sale, projects or basic cost centres
- Cash flow budget
- Payroll management
- Visit from our team to the company every week, fortnight or month
- Accounting in English and reporting to holding company
- And any other of the services that we generally do
The standard service is fully comparable in price with that of a conventional consultancy. Ask us with no obligation and enter the path of growth accompanied by a financial partner that will grow with you.
+34 935 572 398
How we work
- We will get to know each other after the initial contact. You will meet with one of our founding partners so that we can design the best plan to help you.
- We will present you a proposal and a budget for your consideration.
- Whilst working together, you will be assigned a team of professionals, led by one of our partners, whom you will see and contact regularly.
- The commitment of the team, including the partner's, will always be agreed in the budget.
- There are no hidden costs in our fees.
- Our on-going services are not subject to a continuity clause for a specific period of time.
6 basic values
- Commitment with the company
- Rigour in accounting criteria
- Flexibility in the solutions
- Reporting of the developments
- Integration into the company's team
- Confidentiality of the information