1. Tax computation, and tax filling on tax system of Pakistan, including VAT, Corporate profits tax etc.
2. Handling of various company’s banks businesses, including income and payments arrangement; register bank journal book; bank reconciliation;
3. Payments of foreign exchange for import business; foreign exchange settlement of equipment imports etc.
3. Handling of various company’s cashier businesses, register cashier journal book; including income and payments arrangement;
4. Responsible for communication and coordination with the bank according to supervisors.
5. Other tasks assigned by accounting supervisors.
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