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Taxpayers' personal work summary model essay 1 words
To sum up, we can turn scattered and superficial perceptual knowledge into systematic and profound rational knowledge, and draw scientific conclusions, so as to carry forward achievements, overcome shortcomings, learn lessons, and make future work less detours and more achievements. Next, I have prepared a 1-word model essay for personal work summary of tax officials, and welcome your reference.
personal work summary of tax personnel is 1 words. 1
I am responsible for the work of tax administrator. With the correct leadership of the branch leaders and the great help of the comrades in the department, I have successfully completed all the tasks. Over the past year, my work is as follows:
1. Take learning as the foundation and strive to improve political and professional quality
In this world, learning is the most important thing to settle down. I firmly establish the view of "lifelong learning", and always regard learning as the top priority to improve my political and professional quality. In the process of learning, I strive to achieve "three studies", that is, learning politics, science and technology, and learning business. In terms of political study, I focus on the study of "Scientific Outlook on Development", from the understanding of spirit to the analysis of thoughts to the rectification of problems. Adhere to the correct world outlook, outlook on life and values, guide your study, work and life practice with the correct world outlook, outlook on life and values, and actively build a solid defense line against bourgeois democracy and liberalization, money worship, liberalism and other decadent ideas. In terms of learning science and technology, I have squeezed out a little time to practice, and I have basically mastered the operations of office automation and paperless office, and I am familiar with the "Golden Tax Project Phase III", which basically meets the needs of the current information construction of the national tax system. In terms of business study, I actively participated in the training of meeting notes, stepped up my self-study, and made sure that I had notes, knowledge and experience in learning, so as to continuously improve my business quality. Earnestly study legal knowledge, combine with the actual characteristics of my work, use my spare time to study selectively, and further enhance my legal consciousness and concept through study.
second, based on honesty, try to straighten out the relationship in all aspects
in my work and life, I always insist on "sincerity", "sincerity" and "honesty". The work arranged by the organization is unconditionally obeyed, the overall interests are unconditionally maintained, there is no part in the work, there is no right and wrong for colleagues, peace is the highest, and people are warm. In the process of dealing with taxpayers, taxpayers often ask some policy questions that are difficult to answer. In this case, I always write down the questions first, then consult my colleagues or ask the superior business department, and answer the taxpayers in time. I will never fool taxpayers and put on airs with them.
Third, be diligent and strive to complete all tasks
The collection point is responsible for billing taxpayers and publicizing policies, especially the policy of promoting the reform of the camp, advising taxpayers to handle accounts, and striving to harmonize the relationship between collection and payment. 1. Carefully collect all kinds of information, comprehensively and accurately understand and master the development of all aspects of work, analyze the main problems existing in the work, sum up work experience, and report to the leaders in time, so that the leaders can fully and accurately understand and master the actual situation of recent work as far as possible, and make scientific and correct decisions to solve problems. 2. Every task assigned by the leaders should be prioritized, time should be arranged scientifically, and tasks should be completed on time, in good quality and in good quantity.
Fourth, based on self-discipline, strive to establish a good tax image
At work, I always warn and remind myself: first, strive to be excellent ideologically, first, be cautious and desire, and "be just without desire". Second, we should be cautious about power, put an end to the wrong idea of "power is not used, and it will be invalid after expiration", correctly handle the relationship between power and law, power and responsibility, and power and benefit, and insist on administering taxes according to law. Third, be cautious, "Don't act on the small good, don't act on the small evil", you can't do whatever you shouldn't do, but do whatever you should do. I always keep a clear head, do not seek personal gain from taxes, do not abuse power for personal gain, act in accordance with the law, levy taxes according to the rate, and strictly follow the principle of "five demands and ten prohibitions" for civil servants.
Of course, there are still many deficiencies and problems that need to be improved in my work. First, my theoretical knowledge level is still relatively low, and my modern office skills are not strong. Second, the working depth is not enough. Sometimes, due to ignorance of the actual situation, no serious investigation, or satisfaction with the status quo, some work quality is low. Third, the working method is simple. There is a lot of work, which can't adapt to new situations and new problems, the working methods are too old, and there is no sense of being ahead of time in thinking about problems and doing things, mainly because of insufficient study.
In a word, in the past year, despite my great efforts, it is still far from the requirements of the leaders. In the future work, I am determined to redouble my efforts to overcome the shortcomings, fulfill my duties and make due contributions to the overall promotion of the work of the sub-bureau.
A model essay on personal work summary of tax officials is 1 words. 2
First of all, I am strict with myself in professional ethics, and I want to be a qualified tax worker! It is necessary to safeguard the interests of the country and protect the interests of taxpayers. Based on the above understanding, I am conscientious in my work and dare not be careless. My goal is to collect every tax and treat everyone well.
1. In business study
As a tax worker, the new era requires tax workers not only to have the basic knowledge of taxation, but also to have the ability to face new situations, analyze new problems and solve new contradictions. I actively participated in the study of tax business knowledge organized by the county bureau. It was the study that made me have no wrong levy or wrong levy in my work. It guarantees the national interests from loss and the legitimate interests of taxpayers.
Second, in terms of tax service
As a tax worker, we should first care for taxpayers. Then, we must be good at entering the emotional world of taxpayers, and we must treat taxpayers as friends to feel their joys and sorrows. Love taxpayers should be based on respect and dependence. We must be strict with love, strict with rules, strict with faith, and strict with moderation. I often start with small things, care about taxpayers, and give them the warmth like a spring shower. And record the gains and losses in the work at any time to provide reference for future work.
Third, update ideas and be a tax worker with new ideas
With the development of the times, the requirements for tax workers are getting higher and higher. At work. We should constantly update our views and guide our work with new ideas. In order to keep up with the requirements of the times, after work, I study hard on tax knowledge, tax law and related documents. Because of my study, I can correctly collect taxes according to laws, regulations and the spirit of related documents in my tax collection work, and I have done it, with laws to follow and rules to follow. Can keep up with the requirements of the times.
fourth, civilized taxation, smiling service
Taxation involves thousands of households and will contact different people. In the process of taxation, there will always be such contradictions. Some taxpayers don't understand, and I will try my best to explain them. Some taxpayers don't understand the excesses, and I don't use the rights given to me by the people because of the excesses of taxpayers. But to infect taxpayers with smiles and civilized behavior. I always believe that we should serve the people with the people's money, and we should treat our taxpayers in a civilized way.
V. In terms of honesty and self-discipline
As a tax cadre, the first thing to do is to collect taxes honestly. At work, I have never accepted money and goods from taxpayers. Because I know very well that taxpayers' money and goods are obtained through labor and sweat. If they accept it, they will harm the interests of the country and lead themselves to the road of violating discipline and law. This not only ruined himself, but also damaged the image of a tax worker and seriously affected the image of the whole local tax system. This is something that a tax worker must keep in mind.
There is no gold without red gold, and no one is perfect. In my work, I still have some shortcomings, mainly in the following aspects:
1. I don't have enough study, political study and business study, mainly because of the pressure of tax tasks and the heavy affairs of tax collection and management reform, and I have less time to study.
2. Investigation and research are insufficient, because they are busy with the actual collection work all day and lack the actual investigation on the collection work.
3. The degree of collection is not particularly accurate, and some principles and policies are not thoroughly understood.
In the future work, we should first strengthen the study of Ma Ning's thought and Deng Xiaoping Theory's thought, and use political and ideological study to promote the collection work. Secondly, we should earnestly strengthen business learning, improve our own business knowledge and ability, and make it constantly adapt to the needs of work. Once again, we should earnestly carry out investigation and study and listen to taxpayers with an open mind.
personal work summary of tax personnel is 1 words. 3
The finance department closely focuses on the development direction of the group company, and while providing services for the whole company, it carefully organizes accounting and standardizes various financial basic work. From the perspective of financial management and strategic management, we will continuously improve the quality of financial services with cost as the center and funds as the link. In 218, a lot of meticulous work was done:
1. Strictly abide by the financial management system and tax laws and regulations, earnestly perform their duties, and organize accounting
The main responsibility of the finance department is to do a good job in financial accounting and conduct accounting supervision. All staff of the Finance Department have been strictly abiding by the national financial accounting system, tax laws and regulations, the financial system of the Group Corporation and other national financial laws and regulations, and earnestly performing the duties of the Finance Department. From charging to cashier's operation of original income and expenditure; From the weighbridge to the entry of basic statistical data and the compilation of statistical reports; From auditing the entry of original vouchers and accounting vouchers to compiling financial and accounting statements; From the calculation of various taxes and fees to tax declaration and payment; From the arrangement of capital plan to the unified allocation and payment of various funds, every financial staff is diligent, hardworking and diligent, and earnestly implements the enterprise accounting system, realizing the timeliness and accuracy of accounting information collection, processing and transmission.
2. Taking the implementation of certain software as an opportunity to standardize the basic financial work
After two months of preparation and preparation for certain project, the finance department started to initialize the modules of sales management, procurement management, contract management and inventory management of certain project according to the requirements of the new enterprise accounting system and the actual situation of the group company. The setting of basic information such as suppliers, customers, inventory and departments is based on the actual business process, and the problems and deficiencies found in statistics and sales are improved and perfected. For example, set up "inventory price adjustment sheet" to make the sales price of oil products operate according to the established process specification; Set up general purchase orders and special purchase orders, and standardize the operation processes of general purchase business and special purchase business; On the basis of cooperating with the physical management department of the assets department to clean up all physical assets, the physical assets are divided into 9 categories, and on this basis, the initialization of the inventory management module of a certain system is completed. At the beginning of a month, the system was officially put into operation, and the situation that the original statistical software was running at the same time was ended at the beginning of a month. At present, the financial accounting module has been upgraded to a certain system and runs well.
Third, formulate the financial cost accounting system and strictly control the cost
According to the economic responsibility indicators of enterprises issued by the Group at the beginning of the year, the Finance Department decomposed the relevant economic responsibility indicators, formulated the cost accounting scheme, reasonably confirmed the income, unified the accounting standards of costs and expenses, carried out the cost accounting work of hospital departments and conducted the performance appraisal of departments. In the process of financial execution, strictly control the expenses. The Finance Department shall summarize the implementation of income, cost and expenses once a month, and analyze the operation situation and the completion of indicators in each responsible unit in the middle of each month to assist the responsible person of each responsible unit to strengthen management and improve economic benefits.
IV. Orderly fund regulation and control, and reasonably control the overall fund scale of the Group
As the price of raw materials market is unstable and the sales market is changeable, it needs to occupy a lot of funds in the production and sales of oil products. To this end, on the one hand, the finance department timely reconciles with customers, strengthens the timely withdrawal of sales payment, and makes the fund arrangement fair and transparent, first urgent and then slow down; On the other hand, according to the management policy and plan of the group company, the financing schedule and quota are arranged reasonably with the Ministry of Finance, and through the comprehensive control with funds as the link, the orderly development of the production and operation of the whole group is promoted.
V. Strengthening the construction of financial management system and improving the quality of financial information
According to the actual implementation of the Detailed Rules for the Management of Financial Revenue and Expenditure originally formulated by the company, the Finance Department has formulated a comprehensive financial management system to further standardize the financial work of the Group and improve the quality of accounting information, including the organization and post responsibilities of the Finance Department, financial accounting system, internal control system, so-and-so management system and budget management system. Through the division of responsibilities of financial personnel, the timeliness of submission time, accuracy of data, standardization of report format and completeness of accounting statements of various companies are systematically stipulated, thus gradually improving the quality of accounting information and providing reliable and useful information for leaders' decision-making and managers' financial analysis. At ordinary times, the finance department solves the problems in the early stage work by holding regular or irregular communication meetings, arranges the main work in the later stage, and gradually standardizes various financial behaviors, so that all aspects of financial work can be effectively operated and controlled according to certain financial rules and procedures.
VI. Self-inspection activities on tax-related business and implementation of enterprise accounting system, accounting law and other financial laws and regulations
In order to standardize financial behavior and cooperate with the inspection and audit of year-end and early next year's final accounts, the Finance Department organized the financial self-inspection activities on the year-end financial accounts of the Group company, cleaned up the current accounts of affiliated enterprises before the year-end final accounts, inspected the untreated projects in construction, and timely tracked and issued invoices for the paid financial interest expenses. A tax agency was hired to pre-examine the accounting treatment in 218, and the problems found in the audit and self-examination were rectified in time, reducing the tax-related risks.
VII. Organize training for financial personnel to improve team cohesion
The Finance Department organized two groups of training and experience exchange meetings for financial personnel, made a work summary and expected work plan outlook for the whole financial system, and divided the financial personnel into two groups: accounting, cashier, statistics and charging, and discussed them in groups to solve the problems existing in practical work in time. Through Nanfeng Certified Public Accountants' special lectures on internal control and tax risks, the financial personnel's tax knowledge was enriched. The Audit Department, the Finance Department, the Assets Department and the financial personnel were invited to have an in-depth exchange. It strengthens the collaboration of all departments in the whole financial chain, strengthens the sense of responsibility of accountants in each position, and promotes the exchange, cooperation and unity of each position.
VIII. Propose a comprehensive budget management plan and establish a comprehensive budget management model of the group company
According to the realization of the business objectives and various cost accounting indicators in 217, the finance department has proposed a comprehensive budget management plan, which is based on the business objectives and development objectives set by the enterprise.
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