Famillies and corporate bodies trust Montemarin to provide financial budgets, oversight and control. Our service includes basic cash handling, monthly budgets, accounts, payroll and settling invoices. The financial models we create provide our clients with accurate budgets for their annual operational, maintenance and refit expenditure.
A yacht may engage in several hundred financial transactions each month. There will be different transaction profiles in a variety of currencies. Our yacht accountants will process each transaction and ensure each transaction is evaluated and recorded correctly.
Crews are not normally trained accountants and do not generally enjoy book-keeping tasks. This service is appreciated by Captain and crew for lightening the burden of book keeping work allowing them to do what they do best which is running a fine yacht and meeting or exceeding the expectations of the Owner and his guests.