Calculate and issue payroll checks accurately, considering salaries, deductions, and taxes for each employee.
Determine the value of fixed assets and compute depreciation expenses over their useful lifespan.
Establish, maintain, and reconcile various accounts, utilizing both manual and computerized bookkeeping systems.
Ensure accuracy in financial records by maintaining general ledgers and preparing detailed financial statements.
Record financial transactions through journal entries, adhering to accounting principles and standards.
Generate a variety of statistical, financial, and accounting reports to provide insights for decision-making.
Complete and file tax returns promptly, accurately calculating taxes owed based on financial data and regulations.
Compile a trial balance of books to verify the accuracy of accounting records before finalizing financial statements.
Conduct regular reconciliation of accounts to identify and resolve discrepancies for accurate financial reporting.
Languages: English
Work setting: Relocation costs covered by employer, Willing to relocate
Work Location: 303 Nolan Hill Blvd NW Calgary, AB T3R 0P6
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