Job Description

Processing of bi-weekly payroll

Preparing Government remittance including HST and payroll compliance, WSIB reporting, EHT, T4’s,

Completing bank transactions such as Wires, EFT and Cheques

Bank reconciliation and preparation of monthly statements, bank deposits

Prepare year-end package for accountant Job costing and analysis projects

Reconciling daily transactions

Maintaining files and records

Coordinate finances, assist with budget preparation

Complete knowledge of QuickBooks

Develop monthly financial statements, including cash flow, profit and loss statements and balance sheets

Prepare quarterly and monthly tax returns, along with payroll, operating and business taxes

Contribute to team effort by accomplishing related tasks as needed

Personal and confidential financial tasks for the management team.

Maintain and Balance inventory transactions within a proper timely manner.

Excellent telephone etiquette and listening skills