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Job Description
1) Prepare a full set of accounts
2) Prepare asset, liability, and capital account entries by compiling and analysing account information.
3) Summarizes current financial status by collecting information: preparing balance sheet, profit and loss statement, and other reports.
4) Preparation of Client’s Financial Statement and Annual Tax Computation
5) To review monthly SST, compute & file the SST return.
6) Monthly checking accounts (for clients with e-Invoices)
7) To liaise with external parties: banker, auditor, tax agent, and other government authorities
8) Any other duties as and when assigned from time to time
9) Prepare audit signing for client
Job Requirements
Education:
Experience:
Language:
Microsoft :
Nearby LRT Station Asia Jaya
Last active - few minutes ago
#NoExperienceNeeded
Entry Level
