Withholding tax reporting
Review supported supplier withholding information by payment period, with vendor, document and withheld-amount detail for the accountant's annual preparation.
Connect withholding to the supplier and payment evidence
The shared withholding report brings together the relevant supplier, purchase and payment information. Inspect document dates and paid dates separately, with income, withheld and other amounts where available. This helps prepare a period review that is grounded in the recorded transactions rather than in a manually maintained annual spreadsheet.
Give the accountant reviewable detail
Use the selected company and period to examine the vendor-level information, fiscal references and source documents behind the totals. Supported exports provide material for professional review. Missing supplier tax identifiers or incorrect source coding should be corrected at their origin rather than hidden by editing the final report total.
What to know before you start
This reporting capability does not promise automatic Italian CU compilation, signing or authority submission. Confirm the exact declaration requirements and source-data completeness with your accountant.
Practical questions
Does the report submit the annual withholding declaration?
No automatic statutory submission is implied. The supported report provides detail for preparation and review.
Why do paid dates matter?
The reporting workflow distinguishes the purchase document from the related payment period. Review both before assigning an amount to a year.
Continue the workflow
Supplier bills and expenses
Record supplier documents with the right vendor, dates, accounts and tax treatment, using direct forms or supported AI document-processing workflows.
PDF, Excel and legal-format report exports
Export supported reports with the selected company, view and period, choosing the appropriate paginated legal output rather than assuming a visual download contains everything.
Team roles and accountant collaboration
Give colleagues access to the company workflows they need, with distinct sales, purchasing, warehouse, manufacturing, banking and compliance responsibilities.