Job Description
Key Responsibilities
- Maintain accurate books of accounts in compliance with Canadian accounting standards
- Record daily financial transactions, including AP, AR, and general ledger entries
- Perform bank, credit card, and loan reconciliations
- Prepare monthly, quarterly, and annual financial reports
- Manage payroll entries and related reconciliations
- Handle GST/HST/PST filings and ensure timely compliance
- Assist with month-end and year-end closing activities
- Coordinate with CPAs for finalization and audit support
- Maintain proper documentation and organized financial records
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