About this role
1. Keep financial records and establish, maintain and balance various accounts using manual and computerized bookkeeping systems; 2. Post journal entries and reconcile accounts, prepare trial balance of books, maintain general ledgers and prepare financial statements;3. Calculate and prepare cheques for payrolls and for utility, tax and other bills;4. Complete and submit tax remittance forms, workers' compensation forms, pension contribution forms and other government documents;5. Prepare tax returns and perform other personal bookkeeping services;6. Prepare other statistical, financial and accounting reports.