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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