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- Oversee all accounting transactions.
- Record and organize financial activities.
- Calculate taxes and complete tax returns.
- Handle quarterly reports and closings.
- Maintain balance sheets and profit/loss statements.
- Ensure accuracy and completeness of accounting data.
- Manage and process all bills.
- Collect and submit cheque payments.
- Handle relevant document submissions.
- Assist with office administrative tasks.
- Develop and maintain an efficient filing system.
- Ensure all accounting data is accurately recorded.