Maintaining financial records;
· Establish, maintain and balance accounts using manual and
computerized bookkeeping systems;
· Post journal entries and reconcile accounts;
· Prepare trial balance of books;
· Maintain general ledgers
· Prepare financial statements;
· Calculate and prepare cheques for payroll, utility, tax and other bills;
· Complete and submit tax remittance, worker’s compensation, pension
contribution and other government documents;
· Prepare tax returns and perform other personal bookkeeping services, as required;
· Prepare statistical, financial and accounting reports.