- Record daily and monthly accounting transactions into the accounting software.
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Prepare cash receipt and payment vouchers; prepare bank transfer forms for payment documents.
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Record all bank transactions in the accounting software based on detailed bank statements.
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Prepare monthly cash inflow and outflow reports; summarize monthly receivables and payables.
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Process employee payroll and perform salary-related deductions.
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Review and reconcile Personal Income Tax (PIT) calculations with the HR department and assist in monthly PIT declaration submission.
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Prepare Value Added Tax (VAT) and Corporate Income Tax (CIT) declarations (if applicable).
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Monitor, review, and prepare monthly tax reports and declarations.
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Calculate, summarize, and record depreciation of fixed assets.
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Perform other tasks as assigned by superiors.
