International Desk
Landa Consultores provides services that incorporate a wide range of services to international companies. We provide services to a significant number of international companies that operate in a variety of industry sectors and are active in Chile.
We believe that starting your business in Chile on good terms or migrating smoothly to a new provider of back-office support functions will generate benefits for your future.
- From company registration and compliance with municipal authorities and the local tax authority (SII).
- Advice on basic labor law issues
- Local employment policies and procedures
Tax considerations that the international client developing operations in Chile should be aware of from the beginning.
We also give special importance to the creation and implementation of banking powers of attorney, payment terms and other financial functions in order to guarantee transparency and control with a minimum of delay due to administrative or bureaucratic issues.
Accounting & reporting
We know that accounting, tax reporting and financial and administrative reporting are the backbone of any outsourced back-office service, and we have the capabilities to ensure that all of these requirements are delivered in a professional manner.
Banking
We understand that one of the main concerns of our clients is the handling and administration of cash. We have an established area of in Banking that provides personalized support for each of our clients.
We develop banking issues according to the client’s requirements. In some cases we prepare checks and/or make wire transfers that must be authorized by the client, and in some cases the Directors of Landa Consultores receive signature authorization, which is executed under very strict guidelines with specific powers of attorney.
As required by our clients, we can also make available to clients one of their bank accounts into which clients can deposit or make transfers for Landa to make a series of smaller payments such as monthly taxes or employee withholdings, and even payments to suppliers.
The accounting and treasury functions of the company are completely separate, allowing the issuance of checks and balances required for the transparent administration of each client.
Reporting according to the needs defined by our clients can be on a weekly, monthly or quarterly basis, in compliance with U.S. GAAP, IFRS or other accounting standards; in Spanish and/or English; in multiple currencies; designed according to each client’s customized chart of accounts; and in a variety of custom-designed formats.
ur reports aim to allow the user to access the details of each account, and we also have the ability to develop and/or present the reports in any format required. We use a customized version of Softland accounting software, which can be integrated with other ERP systems.