

Finance Specialist and Operational supports business planning through operating budget control, routine payment processing, and bank reconciliation. Manages monthly PPh 23, PPh 21, PPh Final 4(2), e-Bupot Unifikasi, and tax invoice reporting while helping maintain client response within one business day. Contributes financial analysis that informs management decisions and supports accurate monthly and annual compliance.
Bank Reconciliation
Microsoft Excel
Budgeting
Cash disbursement processing
Petty cash control
PPh 21 reporting
PPh 23 reporting / PPh Unifikasi
PPh 26 reporting
E-Faktur pajak
Fiscal correction
Annual Tax Statement / Annual Income Tax Return