Additional Services
We design and continuously develop new procedures and services. We provide suggestions and the best execution methods to simplify the Authority’s daily operations.
Budget forecast
The budget forecast is the main tool for the proper accounting management of Local Authorities, in compliance with the principle of programming, and it is conditioned by the annual public finance maneuver. We support the Local Authority in preparing the budget forecast and all related attachments, from calculating the doubtful debt fund to the approval of the new programmatic document, in compliance with current regulations, the innovations introduced by budget laws (e.g., impact of PNRR funds), and within the required deadlines. CONTACT US TO LEARN MORE
Management report
The Management Report represents, on a final basis, the results of the Authority’s economic, financial, and asset management.
We provide support to municipal staff in preparing everything needed for the approval of the Management Report, specifically: determination of FPV and FCDE, re-assessment of residuals, explanatory notes; council report, Annex 10 EX DPR 194 and Legislative Decree 118/2011, deliberative acts and all required by current legislation, economic-patrimonial accounting or simplified balance sheet. CONTACT US TO LEARN MORE
Local Public Services
We provide technical and operational support to the Authority’s staff in the drafting of the Report on Local Public Services, aimed at ensuring active collaboration with the Authority and at relieving it from part of the operational workload.
The “Local Public Services Report” service consists of analyzing to identify local public services of economic relevance; assessing economic performance, quality, and compliance with contractual obligations; and preparing the annual report required by law for each entrusted service. CONTACT US TO LEARN MORE
Subsidiaries Survey
We provide support to the Authority’s staff in preparing the periodic review of investee companies and related compliance activities.
The service includes the following operational steps: survey of shareholdings; verification of the conditions for maintaining shareholdings; drafting of the Restructuring Plan for the Rationalization of shareholdings; preparation of the Technical Report and delivery of the final documents. CONTACT US TO LEARN MORE
Credit Certification Platform
Through our solution, we support the Authority in the process of aligning accounting documents on the new Area RGS portal. As established by Law 145/2018 and Decree-Law 19/2024, all Public Administrations must report the stock of debt as of December 31 by January 31, and the quarterly stock by April 30, July 31, and October 31. Alignment is essential to accurately quantify the amount of current resources to be allocated to the Guarantee Fund for Commercial Debts (FGDC). CONTACT US TO LEARN MORE
Sogei Questionnaire
Our solution includes the collection and verification of preloaded data, based on the information sent by the Authority to BDAP during the approval of the 2022 Financial Report, through files containing accounting and analytical data by financial plan, mission, and program. All this with minimal impact on the Authority’s staff. CONTACT US TO LEARN MORE
Municipal Solidarity Fund
The Municipal Solidarity Fund finances essential services such as social assistance, nurseries and transportation for students with disabilities. Since 2023, a dedicated fund has been introduced for autonomy and communication for students with disabilities. We support the local Authority in reporting, ensuring optimal resource management. Our service includes: analysis of the Authority’s position in relation to standard needs, support in drafting financial reports, and assistance with online reporting, guaranteeing transparency, compliance, and accuracy. CONTACT US TO LEARN MORE
Management of Non-Tax Revenues
Local Authorities face the challenge of managing their non-tax revenues in a highly complex context. To address this, we have designed a service that can be tailored to the needs and requirements of each Municipality, structured into two main activities:
- Comprehensive analysis of process flows in the current revenue management.
This involves an in-depth review to identify any critical issues or problems that may slow down the ordinary activities of the revenue office. At this stage, we carry out a detailed mapping of the revenue management cycle and the procedures currently used by the Authority. - Support, training, and assistance for the Authority’s staff.
We support the Authority in operational activities for revenue management (managing registries, billing, payment control, etc.) or by providing management solutions and IT procedures that simplify operations and save time, offering continuous training and assistance to the designated staff.
End-of-term and Start-of-term Report
We support the Financial Manager in drafting the end-of-term and start-of-term report, as required by Articles 4 and 4-bis of Legislative Decree 149/2011.
These are complex reports that require a large amount of data and information, as well as compliance with strict signing and publication deadlines. The service consists of preparing the necessary documents, working closely with the Authority’s staff, who are called upon to approve the drafts before the final version of the reports is issued. CONTACT US TO LEARN MORE