Prepare Receipt and entry account in Account Receivable on ALLINONE and prepare cash receipt (Tax
invoice) Vat Output for staff everymonth.
- Check VAT and prepared report Por.Por.30 for the Revenue Department
- Prepare withholding tax reports 3,53 for the Revenue Department
- Prepare Reported Cash on Hand and Reconciliation pettycash, Cash on hand for manager account
everymonth
- Signed the invoice and check details that correct. And record bankcharges for finance confirm bankcharge
to Bank and refund withholding tax every month.
- Accrued expense for finance and reconciliation every bank and Adjust document etc