Compare professional services and indicative starting fees.
Select accounting, tax, audit, company administration, advisory, funding or contract services. Your choices stay in one itemised, non-binding request for scope confirmation.
Browse 82 named servicesEach fee is a starting point for the stated scope. FST confirms records, timing, final fees and the responsible professional before work starts.
Final fees depend on complexity, volume, records, deadlines and professional acceptance.Packages by business type

- POS, cash, card and delivery-platform bookkeeping and reconciliation
- VAT, fiscal-receipt, payroll, FSS and SSC workpacks
- Supplier, food-cost, gross-margin and cash-flow reporting
- Audit-ready schedules and year-end accounts file
- Company records and administrative compliance calendar

- Income, expense and bank bookkeeping and reconciliation
- Applicable VAT and income-tax workpacks
- Profit, cash-flow and tax-reserve reporting
- Year-end schedules and accountant hand-off file
- Registration and administrative deadline calendar

- Retail bookkeeping and bank, card, cash and POS reconciliation
- VAT, fiscal-receipt, payroll, FSS and SSC workpacks
- Supplier, stock movement and gross-margin reporting
- Audit-ready controls and year-end accounts file
- Company records and administrative compliance calendar

- Client-level bookkeeping and bank reconciliation
- VAT, corporate-tax, payroll, FSS and SSC workpacks
- Management accounts, cash-flow and year-end reporting
- MBR annual-return, beneficial-ownership and company-record schedules
- Regulatory, KYC and AML/CFT evidence administration for CSP review
82 services
Audit, accounting, tax, corporate administration, advisory, funding and contract work.Statutory financial statement audit
Risk-based audit of a straightforward small company, including planning, fieldwork and the statutory auditor’s report.
Voluntary financial statement audit
Independent audit requested by owners, lenders, investors or group management where no statutory mandate applies.
Limited assurance or review engagement
A narrower independent conclusion over specified financial information, designed around the intended users and criteria.
Agreed-upon procedures
Factual findings from procedures agreed with management, a lender, donor or other specified party.
Internal audit health check
Focused review of one process or risk area, with practical findings, owners and prioritised actions.
Internal controls assurance
Design and operating-effectiveness testing over a defined control set, with an evidence-backed report.
Grant, donor or project audit
Expenditure, eligibility and compliance testing against the funding agreement and reporting framework.
NGO or voluntary organisation audit
Proportionate audit for charities, associations and voluntary organisations, including restricted-fund considerations.
Compliance or regulatory audit
Testing of a defined obligation set, licence condition, policy framework or contractual requirement.
Systems and data audit
Review of access, change, interface, data-quality and reporting controls over a defined system landscape.
Audit readiness and remediation
Working-paper, reconciliation and evidence review before an external audit, with a sequenced closeout list.
Fraud-risk or special-purpose review
Scoped fact-finding, transaction analysis and control review for a defined concern or allegation.
Monthly bookkeeping
Posting, coding and ledger maintenance for up to 50 straightforward transactions, with monthly bank reconciliation.
Catch-up bookkeeping
Reconstruction and clean-up of overdue records from complete source documents and bank statements.
Standalone bank reconciliation
Monthly reconciliation of one bank, card or payment account, including an exceptions list.
Annual financial statements
Preparation of a straightforward year-end financial statement set from a clean trial balance and complete records.
Management accounts
Monthly or quarterly profit and loss, balance sheet, cash summary and short management commentary.
Cash-flow forecast
Rolling cash forecast built from opening balances, expected receipts, commitments and scenario assumptions.
Budget and projection model
Integrated profit and loss, balance sheet and cash-flow projections with clear operating assumptions.
Group consolidation
Consolidation of a small group from aligned reporting packs, including core elimination entries.
Finance policy or close procedure
A practical policy, checklist and responsibility map for one finance process or month-end close.
Fractional finance controller
Recurring senior review of books, close quality, management reporting and priority finance actions.
Tax or VAT registration
Preparation of one straightforward business or individual registration from complete information.
VAT return and reconciliation
Preparation of a straightforward VAT return reconciled to the underlying ledger before client approval.
VIES or Intrastat filing
Preparation of one routine EU transaction statement from clean and complete transaction data.
Corporate income tax return
Tax computation and return for a straightforward company from final, reconciled accounts.
Personal or self-employed tax return
Preparation of a straightforward annual return from complete income, expense and supporting records.
Tax computation review
Independent review of one draft computation, key adjustments and supporting schedules.
Payroll and FSS setup
Employer and employee setup, payroll calendar, core data checks and opening payroll configuration.
Monthly payroll processing
Gross-to-net payroll, payslips and routine payroll summary from approved monthly inputs.
FSS filing support
Preparation of recurring employer FSS information and year-end employee/employer summaries.
Tax refund or credit claim
Preparation of a straightforward refund or credit application with an indexed supporting pack.
Cross-border payment and withholding review
Review of one payment flow, treaty position, documentation and practical withholding steps.
Transfer-pricing documentation
A proportionate local support file for a straightforward related-party transaction and pricing policy.
MTCA query, review or objection support
Issue assessment, response pack and draft correspondence for one defined authority matter.
Company formation
Formation pack, constitutional documents, registrations and setup checklist for a straightforward structure.
Company secretary service
Recurring statutory calendar, board support and core company-secretarial administration.
MBR annual return preparation
Preparation of one routine annual return from verified corporate records, excluding registry charges.
Beneficial-owner filing update
Preparation of a routine beneficial-ownership update from approved and verified information.
Statutory registers maintenance
Initial clean-up or annual maintenance of core company registers from complete source records.
Board or shareholder resolutions
Drafting of a routine approval pack, minutes template and action checklist for one corporate decision.
Share issue, transfer or capital change
Corporate-document and filing support for one straightforward ownership or capital action.
Officer or registered-detail change
Preparation of a routine director, secretary, registered-office or company-detail update.
Strike-off or restoration support
Readiness review, document checklist and process support for a straightforward closure or restoration.
Business-plan preparation
Decision-ready business plan with market, operating model, implementation roadmap, risks and integrated projections.
Business-plan review
Structured challenge of an existing plan, with evidence gaps, inconsistencies and recommended revisions.
Feasibility study
Commercial, operational and financial feasibility assessment for a defined initiative or investment.
Management strategy workshop
Facilitated working session that turns priorities into decisions, owners, measures and a 90-day action plan.
Internal-control review
Process walkthrough, risk-control map, design-gap assessment and prioritised remediation plan.
Procedure or SOP drafting
Clear, role-based procedure for one process, including inputs, controls, outputs and escalation points.
Risk register and treatment plan
Practical enterprise or project risk register with scoring, owners, treatments and review cadence.
Business policy drafting
One tailored policy with responsibilities, control requirements, exceptions and approval history.
KPI dashboard design
A focused metric set, definitions, owners, data sources and management-ready dashboard layout.
Operational process review
Focused review of workflow, capacity, hand-offs, delays, waste and control points, with improvement actions.
AI governance and controls readiness
Use-case inventory, risk classification, responsibility model, policy baseline and evidence roadmap.
Funding fit and fee check
A short initial review of the objective, applicant profile, likely route and evidence readiness.
Funding route map
Shortlist of plausible loan, FONDI.eu, Malta Enterprise or other routes with next-step requirements.
Loan readiness assessment
Review of borrowing purpose, repayment capacity, financial records, security and lender evidence gaps.
Loan application pack
Coordinated application narrative, financial schedules, evidence index and lender-question preparation.
Funding financial model
Assumption-led projections, sources and uses, cash flow and sensitivity case for a financing request.
Grant eligibility and project design
Eligibility screen, intervention logic, outputs, milestones, risks and evidence requirements.
Grant application drafting
Draft application narrative and coordinated annex list for a defined, straightforward funding call.
Complex EU or institutional application
Full proposal coordination across work plan, partnership, indicators, budget, risk and annexes.
Eligible-cost and co-financing budget
Detailed budget mapped to call rules, funding rate, co-financing and supporting quotations.
Loan or funding evidence pack
Indexed, gap-checked pack of corporate, financial, tax, procurement and project evidence.
Lender or funder pitch deck
Concise decision-focused presentation aligned to the application narrative and financial case.
Approval, award or drawdown setup
Conditions-precedent tracker, responsibility map, evidence calendar and reporting setup after approval.
Grant claim or donor report support
Narrative, expenditure schedule and evidence-pack support for one routine claim or reporting period.
Contract drafting
First draft of a standard commercial contract tailored to the transaction, responsibilities, fees, risk allocation and exit terms.
Legal document drafting
Drafting of business letters, notices, declarations, consents, policies and other legal documents, with warranted review where required.
Contract review
Issue list, risk flags and suggested mark-ups for one standard commercial document of ordinary complexity.
NDA or confidentiality agreement
Mutual or one-way confidentiality document tailored to the parties, purpose, information and remedies.
Services or consultancy agreement
Tailored scope, fees, acceptance, liability, IP, confidentiality, termination and dispute clauses.
Supplier or subcontractor agreement
Practical commercial terms for deliverables, service levels, price, change, liability and exit.
Employment or contractor agreement
Standard agreement tailored to the role, compensation, confidentiality, IP and termination structure.
Business terms and conditions
Customer-facing trading terms aligned to the service, ordering, payment, liability and cancellation model.
Privacy and cookie policy
Plain-language policy based on the actual data flows, purposes, lawful bases, retention and user rights.
Data processing agreement
Controller-processor terms covering instructions, security, sub-processors, incidents and exit.
Memorandum of understanding or letter of intent
Clear statement of the proposed transaction, binding and non-binding terms, next steps and expiry.
Shareholders’ agreement
Governance, reserved matters, funding, transfer, leaver, deadlock and exit provisions for a simple structure.
Contract variation or addendum
Focused amendment that changes defined terms while preserving the original agreement’s structure.
Legal research or compliance memo
Issue-focused research with sources, assumptions, practical implications and questions for warranted counsel.
How pricing works
Efficiency changes the fee, not the responsibility.
FST uses specialised professional AI agents for structured research, reconciliation, drafting, evidence indexing and quality checks. A responsible professional still controls scope, material judgements, client approvals and regulated outputs.
- Included
- Initial scope check, information request, agreed deliverable and one ordinary clarification round.
- Quoted separately
- Urgency, incomplete records, multilingual work, unusual transactions, travel, official fees and third-party specialists.
- Never automatic
- External filing, legal notice, audit opinion, tax return, funding submission or other professional submission without recorded human approval.