- Recording account Transaction (PV, AP, JV) for month
- Work Financial statement Report
- Control account for current asset, current liability (sub-ledger)
- Prepare W.H. Tax filling on Revenue form PND.1/3/53 & PP.30
- Check Tax invoice ,Run number Vat-Input & Close Vat for the month (PP.30)
- Prepare Bank Reconcile
- Prepare
cheque & clearing for ordinary payment the end of month
- Prepare receive slip for A/R trade & cash
- Other