Record transactions monthly for Purchasing,Selling,Receipt,Payment,Petty cash, General Journal.
To prepare the checks and checking billing note from the creditors.
To prepare and submit tax withholding (PND 3, PND 53) to the revenue Department.
To prepare register asset.
To prepare detailed money transfer overseas.
To prepare stock card and detailed inventories end of month
To prepare Trial Balance.
Submission of financial statements submitted to the Ministry of Commerce (Sbc.3).
Submission of employee withholding tax (PND 1).
Reconciliation account receivable, accounts payable and prepare balances detail end of month.
Reconciliation bank statements and preparation of detailed checks outstanding balance.
Reconciliation of ledgers and account updates.
Record transactions monthly for Purchasing,Selling,Receipt,Payment,Petty cash, General Journal.
To prepare the checks and checking billing note from the creditors.
To prepare and submit tax withholding (PND 3, PND 53) to the revenue Department.
To prepare register asset.
To prepare detailed money transfer overseas.
To prepare stock card and detailed inventories end of month.
To prepare Trial Balance.
Submission of financial statements submitted to the Ministry of Commerce (Sbc.3).
Submission of employee withholding tax (PND 1).
Reconciliation account receivable, accounts payable and prepare balances detail end of month.
Reconciliation bank statements and preparation of detailed checks outstanding balance.
Reconciliation of ledgers and account updates.
Record transactions monthly for Purchasing,Selling,Receipt,Payment,Petty cash, General Journal.
To prepare the checks and checking billing note from the creditors.
To prepare and submit tax withholding (PND 3, PND 53) to the revenue Department.
To prepare register asset.
To prepare stock card and detailed inventories end of month
To prepare Trial Balance.
Submission of financial statements submitted to the Ministry of Commerce (Sbc.3).
Submission of employee withholding tax (PND 1).
Reconciliation account receivable, accounts payable and prepare balances detail end of month.
Reconciliation bank statements and preparation of detailed checks outstanding balance.
Reconciliation of ledgers and account updates.