We have being creating tools to meet the organization needs and we are able to reconcile that the position of the company's financial statements are correct and in line with the accounting and the regulations of the corporation.
For the treasury we offer cash management facilitating for the organization, increasing its financial efficiency, meeting its periodic needs of liquidity, ordering the sources of financing and investment in the market.
Softside develops customized tools to respond effectively to the challenges of the market economy. Assisting in the strategy drawn by the retention and attraction policies adopted by the client.