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Full-cycle bookkeeping
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Statement reconciliations (bank account, credit cards)
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Recording and managing payable and receivables
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Processing employee’s payroll including:
Direct deposit, printed cheques, paystubs Preparing CRA payroll reports (source deductions, ROE’s, T4s, T4As, T5018s) WCB reporting
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GST and PST reporting
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Record amortization/depreciation and any other adjusting entries
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Provide monthly, quarterly, &/or annual financial statements
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