Working with complex accounts, and taxation along with direct client communication.
Budgeting, forecasting and preparation of financial statements and management reports.
Review day‑to‑day bookkeeping tasks, including recording financial transactions, bank reconciliations, and journal entries; review accounts payable and receivable processes, ensuring accuracy and timely posting.
Review general ledgers, trial balances, and assist in month‑end closing activities.
Support in the preparation of financial statements and management reports.
Communicate with Canadian clients to obtain missing information and clarify accounting details.
Use QuickBooks Online, Xero, or other accounting software to maintain accurate financial data.
Assist other team accountants with filing, documentation, and audit support when required.
Ensure compliance with company policies and client‑specif...