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Posting id :


3/2/2023 12:47:07 PM
Employer : Blue Ocean Freight Inc.
  City : Brampton Job type :  Career
  Region : ON Hours :  Full-Time
  Country : CA Duration :  Permanent
  Deadline : 12/31/2023
  Education : College/Technical school Experience :  1 year or less  
  Salary : $24.50 / hour
  Description :  

Location:: Brampton, ON L6P 1P9
Vacancies:: 1 vacancy
Employment groups: Visible minorities, Persons with disabilities, Indigenous people, Newcomers to Canada
Terms of employment:: Permanent employment, Full time 40 hours/week
Start date:: As soon as possible
Employment conditions: Morning, Day, Evening

Job Description

· Use manual or computerized system to track financial records, maintain or balance accounts

· Publish journal entries, conform accounts, compose trial balance, update general ledgers, and record financial statements

· Verify recorded transactions in supplier’s ledger, customer, and general ledger

· Monitor variances in projected budgets

· Processing payments

· Compute cheques for payroll and taxation purpose

· Filing various forms like worker’s compensation, pension contribution, tax remittance, etc. Filing tax returns

· Collecting relevant accounting, statistical and financial data for the organization

· Conduct regular banking activities

· Awareness of laws to comply with reporting requirements

Job Requirements:

College, CEGEP or other non-university certificate or diploma from a program of 1 year to 2 years

1 year to less than 2 years

Work Conditions and Physical Capabilities
Work under pressure, Fast-paced environment, Repetitive tasks, Tight deadlines, Overtime required, Attention to detail

Personal Suitability
Effective interpersonal skills, Dependability, Team player, Accurate, Excellent written communication, Excellent oral communication, Organized, Judgement, Flexibility, Reliability

Business Equipment and Computer Applications
MS Excel, MS Windows, MS Access, MS Word, MS PowerPoint, MS Outlook

Specific Skills
Post journal entries, Maintain general ledgers and financial statements, Prepare trial balance of books, Calculate fixed assets and depreciation, Calculate and prepare cheques for payroll, Prepare tax returns, Keep financial records and establish, maintain and balance various accounts using manual and computerized bookkeeping systems, Reconcile accounts, Prepare other statistical, financial and accounting reports

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