Overview of the tasks in this process 

 

 

AR-080-020: Reconcile the Output Tax with Tax Accountant

Description

At the end of each month, AR accountant (BO) receives the total Output Tax Amount from Tax Accountant for reconciliation by mail.

 Relevant T-code: FS10N

Software Mappings

SAP

Roles

Account Receivable Team/AR Accountant (BO) (Responsible)

 

Run T-code FS10N for check balance of output tax for current month

Filling in corresponding "G/L account", "company code", "year", then click on  to execute

This screen display all balance of output vat tax, review and reconcile balance with tax accountant 

 

 

AR-080-030: Verify the Output tax amount

Description

AR Accountant (BO) checks the list and verifies the total amount of Output tax amount. Then, AR Account (BO) will send the e-mail including a hard copy to tax accountant for confirmation.

Roles

Account Receivable Team/AR Accountant (BO) (Responsible ))

 

AR-080-040: Revise

Description

If – Tax Accountant check the balance of output tax was not matched with tax account, – Tax Accountant processes the revision.

Roles

Tax Accountant (Responsible)

#trackbackRdf ($trackbackUtils.getContentIdentifier($page) $page.title $trackbackUtils.getPingUrl($page))
  • No labels