Job Description
· Full-cycle accounting, AP/AR, reconciliations, journal entries, financial statements
· GST/HST & Remittance
· Payroll & Remittance
· Prepare and verify employee expense reporting
· Perform and calculate tenant TMI recoveries
· Prepare and calculate tenant chargebacks
· Assisting with estimates, budgets and forecasts
· Respond to financial related enquires from property managers and tenants
· Provide accounting support on corporation taxes and auditing
· Respond to CRA tax review requests
Qualifications:
· Accounting background
· Microsoft Excel & QuickBooks