Calculate and prepare cheques for payroll, Prepare cheques for expenses, bills, and utilities, Maintain financial records of accounts and verify the protocol used for recording transactions, Balance various accounts and books using manual and computerized bookkeeping systems, Reconcile accounts and prepare financial statements, Fill and submit the tax remittance forms, worker compensation forms, Canada Pension plan contribution and other government forms, Document expenses and perform other bookkeeping services, Prepare tax returns and other accounting reports. Providing reports to the Chartered Account for monthly and quarterly GST filling to Canada Revenue Agency.
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