Check data and account for daily arising transactions;
Check the output, input, income and expenditure documents daily
- Checking books, book data at the end of the month
- Monitor and collect debts. Monitor the export/import of invoices and documents
- Make daily, monthly, quarterly and internal reports when requested by the Board of Directors.
- Prepare VAT returns, CIT, PIT, VAT refund documents (if any), license tax and other documents submitted to tax authorities according to current regulations..
- Directly dealing with tax authorities, directly providing vouchers and documents, explaining data and tax-related issues to inspection, examination and audit teams.
- Prepare financial statements and submit reports in accordance with State regulations.
- Perform other tasks as required by the chief accountant