· Manage daily operation in Finance, Accounting and Tax Department
· Prepare and manage cash flow, financial, billing, AR/AP, Inventory, Annual Budget, Petty Cash, and related
· Manage all taxes (including monthly SPT, annual SPT, and others tax requirements) - Tax Art 21, 23, 25, 4(2), 26, VAT, etc
· Manage accounting planning, accounting reporting, tax planning, tax reporting, compliance, tax submissions, audit and reporting
· Verify the completeness of the documents required for financial transactions
· Performing reconciliation of financial data precisely
· Able to prepare and review annual corporate income tax
· Assist in preparing year-end books for audit
· Ensure operational compliance with policies, procedures and regulations for any necessary entities
· Assist in reconciling all balance sheet and income statement accounts on a monthly/quarterly basis as indicated by the monthly closing schedule
· Correspond with various other departments, discussing company plans and agreeing on future paths to be taken
· Work place at Sleman, DIY. Can work immediately will be proceed.
· Willingness to standby on weekend/national holiday or outside office hours if needed