Job Description
KEY DUTIES & RESPONSIBILITIES
- Own the full cycle of day-to-day bookkeeping — recording transactions and reconciling bank accounts to ensure the accuracy and integrity of our financial records across all entities.
- Be responsible for the timely and accurate filing of HST, Source Deductions, and WSIB across the group of companies, ensuring full compliance with all remittance deadlines and regulatory requirements.
- Engage in timely and personable communication with vendors, trades, clients, and staff, conducted through phone, email, and in person.
- Manage the accounting inboxes across the various companies.
- Work closely with each Manager to handle accounts receivable and accounts payable, ensuring timely collections and payments to maintain smooth financial operations within each company.
- Manage critical month-end entries including depreciation and wage accruals, post journal entries, and prep...