Prepare draft returns in a timely and accurate manner;
Carry out validations / reconciliations for countries supported;
Carry out balance sheet reconciliation (BSI) work on VAT matters;
Calculate data additions and corrections;
Prepare VAT Accounting Journal to be posted by Finan.
Carry out validations / reconciliations for countries supported;
Carry out balance sheet reconciliation (BSI) work on VAT matters;
Calculate data additions and corrections;
Prepare VAT Accounting Journal to be posted by Finan.