
Search by job, company or skills
1. Establish, maintain and reconcile the generalledger
2. Establish, maintain and reconcile AP, AR andInter-co balances
3. Prepare bank reconciliation
4. Prepare Income Statements andStatement of Financial Position
5. Establish and maintain cash disbursement andcontrols
6. Prepare monthly reports and perform varianceanalysis
7. Responsible for GST reporting
8. Assist with preparation of budget
9. Maintain financial files and records andcomputerized accounting system
10. Any other duties as assigned
Job ID: 146317797