Process payroll by calculating and preparing cheques accurately.
Determine fixed assets and depreciation figures for financial reporting purposes.
Maintain precise financial records and manage various accounts using both manual and computerized bookkeeping systems.
Keep general ledgers updated and prepare financial statements accordingly.
Record journal entries to ensure accurate accounting of transactions.
Generate a variety of statistical, financial, and accounting reports as needed.
Compile trial balances to verify the accuracy of financial records.
Conduct account reconciliations to ensure consistency and accuracy in financial data.
Languages: English
Work Location: 10601 Southport Rd SW Suite 310Calgary, AB T2W 3M6
Work setting: Relocation costs covered by employer, Willing to relocate
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