Input transactions into the Accurate system accurately and in a timely manner.
Assist in the preparation of periodic financial statements (monthly, quarterly, and annually).
Perform bank reconciliation for all accounts in the system to ensure data accuracy and consistency.
Review tax invoices received from suppliers to verify authenticity and completeness.
Create tax invoices for sales transactions and other relevant transactions in accordance with applicable tax regulations.
Calculate and report monthly VAT (Value Added Tax) through the e-SPT system.
Prepare summaries, calculate, and input Withholding Tax (PPh) returns (e-SPT), and distribute the withholding tax certificates to relevant parties and submit to the Tax Office (KPP) every month.
Handle correspondence related to banking, taxation, and company financial matters.
Compile findings from reviews or audits into a summ...
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