- 越南公司秘书 及合规服务
- 越省事
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- 越南个人数据隐私合规性
- 越省事
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| 价格 | 面议 |
| 发货 | 全国付款后3天内 |
| 该产品库存不足 |
Service Scope:
Map fund flows among China HQ, Hong Kong/Singapore platforms, Vietnam subsidiaries, suppliers and customers
Assess compatibility between China-side cash pooling and Vietnam foreign exchange controls
Design Vietnam-side account structure: DICA, operating account, foreign loan account, indirect investment account and intercompany accounts
Plan compliant routes for procurement payments, sales receipts, service fees, dividends, loans, advances and reimbursements
Review tax and transfer pricing impact for interest, service fees, royalties, management fees and cost sharing
Coordinate with banks in China and Vietnam on quota, currency, RMB settlement, FX registration and documents
Build internal controls for payment approval, related-party contracts, invoices, customs declarations and bank records
Identify compliance boundaries among cash pooling, foreign loans, current-account payments and profit repatriation
Process:
Collect group chart, bank accounts, transaction types and annual funding needs.
Separate capital, trade payments, service fees, group loans, dividends and reimbursements.
Assess whether China-side cash pool rules match Vietnam FX rules.
Design account matrix, fund routes, contract flow and document flow.
Pre-clear structure with banks and confirm required documents.
Prepare intercompany agreements, transfer pricing support and payment templates.
Pilot small-value transactions and review bank feedback.
Establish monthly cash forecast, related-party ledger and annual compliance review.
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