Accounting - Grande Prairie, AB, CA
Accounts PayableAccounts ReceivableBank/Credit Card ReconciliationsGeneral Journal EntriesPayroll preparations, reconciliations, reportingGovernment Remittances and Reconciliations– Corp Tax, GST, Payroll Source Deduction, WCB, IFTAT4/T5 PreparationManagement Reporting to shareholdersMaintenance of financial ledgers and accounting processesTroubleshoot data errors and fixPreparation of Monthly Consolidated P&L and Balance SheetTimely production of internal financial reportsFinancial reporting and document preparation for lending institutions (Bank Marginalizing, Operating LOC)Create and implement systems and internal controlsYear End Preparation (Accountant ready)
Outlook
WordPress.org
Gravity Forms
Google Font API
Amazon AWS
Mobile Friendly