· Manage Payroll for Clients
· Manage Accounts Receivable and Accounts Payable by depositing cheques and preparing invoices
· Use computer software to manage reports and track financial data
· Create and manage a systematic filing system
· Prepare documents for the company Accountant or for Internal Auditors
· Compile data for Income Tax Returns
· Verify or Reconcile bank transactions, complete deposits, or issue cheques
· Reconcile invoices and identify discrepancies
· Create and update expense reports
· Process reimbursement forms
· Prepare bank deposits
· Enter financial transactions into internal databases
· Check spreadsheets for accuracy
· Maintain digital and physical financial records
· Issue invoices to customers and external partners, as needed
· Review and file payroll documents
· Participate in Quarterly and Annual Audits