Prepare Receipt Voucher, Journal Voucher and Payment Voucher and W/T
Prepare cheque of request of payment
To perform month-end and year-end closing
Reconciliation of bank statements, value added Tax, W/T, the debtor and the other account report
Prepare and filling tax report Por Ngor Dor 3,53, PP 30 and P.T.40
Ensure the accuracy of the trial balance and general ledger
Prepare Details of financial statement