General accounting tasks, including reconciling and maintaining balance sheet accounts and general ledger operations, preparing journal entries, preparing monthly closing and financial reports, preparing account/bank reconciliations;Perform finance analysis, reporting and management tasks;Oversee the validation of transactions and verification of their overall impact on the general accounts;Lay down and validate the accounting systems and tools;Review financial paperwork and procedures, provide recommendations and make necessary changes;Process corporate tax documents (PPN, PPH23, PPH21, PPH29, PPH25, PPH Final & Sewa)