Financial Services processes about 9,000 reclassifications/transfers per year and the fixed asset accounting manages the approximately 13,000 assets.
We create the financial statements according to the accounting standards of the canton of Zurich based on IPSAS (balance sheet, income statement incl. segment reporting and appendix).
We also operate accounting of various legates and foundations and take care of trust mandates.
The cashier manages cash transactions and surveys the cash desks of the institutes.