1. Create an account set: establish an independent and complete data set for the customer company, including a complete set of independent and complete system control parameters, user rights, basic files, accounting information and account table query;
2. Review the original vouchers provided by the client company, prepare accounting books and vouchers on behalf of the client company, prepare accounting books and prepare accounting statements;
3. Online tax declaration of national tax;
4. Daily tax communication and tax consultation;
5. Guide or assist enterprises to handle daily tax-related matters;
6. Final settlement of year-end income tax;