1 management fund income and expenditure 2. Responsible for expense reimbursement signature, amount, invoice and attachment audit. 3. Prepare accounting vouchers according to the unerring original vouchers. 4. Manage contract ledger, contract payment account 5. Prepare monthly, annual financial statements, bank balance reconciliation table 6. Monthly online tax returns, annual corporate income tax returns and settlement 7. Annual cost and profit budget according to the targets issued by the higher authorities