Handling day-to-day accounting transaction in accounting software.
Prepare month-end closing transaction.
Prepare data for analysis P&L report.
Account reconciliation for Balance Sheet, including Tax and Bank reconciliation.
Review AR aging and AP aging by monthly basis, monitoring AR and action taken.
Cash flow and forecasting report by monthly basis.
Take care petty cash and House fund.
Verify document and prepare payment vouchers & Cheque, submit to HQ for approval.
Verify WH/T and VAT calculation both from suppliers and to customer.
Prepare monthly payroll.
Manage yearly audit planning and coordinate with tax consultant on estimated Annual Corporate Income Tax, lead in resolving all the yearly Corporate Tax Computation schedules with tax consultants, oversee government compliance reports, statistic reports, etc.
Keep and manage agreement/license and other company document.
Other ad-hoc duties as assigned from time to time.