To ensure the integrity and of all Accounting books and records.
确保所有账户记录的完整性。
Finish the monthly financial reports after month-end according to established standards and procedures.
根据以建立的月结程序完成财务报表。
Be responsible for preparing the monthly journal entries at the end of the month.
负责每月月末准备月结凭证的录入。
Check all balances to clearance accounts.
检查所有过渡账户余额。
Prepare the standard and miscellaneous journals at the end of the month.
在月末准备标准和其他凭证。
Verify that the monthly computations of inventories are proper and that the totals are in agreement with the control.
核查每月库存被准确入账并与总账一致。
Verify that prepaid expenses, deferred charges and depreciation schedules are up-to-date and in agreement with the books.
审核待摊费用、递延费用以及折旧明细表是否更新,并确定与帐户中一致。
Ascertain that all taxes, contributions, licenses are paid when due.
确定所有的税金、以及其他费用是否都合理支付。
Closely works with the Account Payable and Income Audit.
紧密配合应付和收入审计工作。