Analyzes, reconciles, and/or evaluates the accuracy of general ledger, accounting details.
Prepare business taxes, withholding tax report to submit the Revenue Department within the timeline.
Prepare the journal of Accrued Expenses, Reserve, Prepaid Expenses and all related to complete the month end closing.
To produce and manage daily cash & deposit report and complete the month end closing.
To prepare information to support the budgeting and monthly forecasting of the company.
Maintain fixed assets master, compute depreciation expense and prepare fixed asset register.
Prepare all relate of audit and a variety supporting to management for financial statements.