Preparation of tax reports to all applicable companies Preparation of statistics report to all applicable companies Reports preparation for National Bank to all applicable companies
The closing of transactions in the applicable accounting systems
Expat personnel salary accounting
Monthly checking of work visas and permits of expat personnel
Ensuring of Company vehicles and employees
The closing of the monthly period in the applicable accounting systems
Ensuring in arrival and receipt of fixed assets accounting in the applicable accounting systems.
Posting of bank statements
Accumulated Report - for the bank
Control and accounting of expats' deposits, opening, and closing of the deposit agreements
Daily checking of the Taxpayer's Cabinet of all applicable companies
Responding to the tax committee notifications
Management of foreign companies’ residence
Accounting of transmittal letters and way-bills for fuel
The Company accounting policies
Performing of tax payments from the salary.
Timely calculation and payment of other taxes
deduction of food products at the canteen
deduction of materials, spare parts, household products, fuel
Entering with transaction data and confirming the sums of suppliers’ invoices
Counseling, checking and controlling of calculating board accountants, АР, AR
An opening of IIN (Individual Identification Number) for expat personnel
reconciliation acts with the suppliers
reconciliation acts with the Customs
reconciliation acts with the tax committee
Enters the customs declarations in the applicable accounting systems
reconciliation acts with the Bank on Customs declarations
The arrival of inventories, spare parts, food products, basic assets, intangible assets for warehouse, for the canteen and other persons in charge.