Opportunity Description
Job Responsibilities
- Prepare monthly General Ledger (GL) reconciliations, promptly investigating and resolving discrepancies.
- Maintain the Capital Expenditure (CAPEX) register and record monthly depreciation.
- Post bi-monthly payroll journal entries and reconcile payroll-related bank payments and intercompany cross-charges.
- Prepare and submit sales tax filings to federal and provincial authorities (GST/QST and PST).
- Review and post pre‑authorized debits to support daily bank reconciliation activities.
- Execute month‑end close activities, including analysis and posting entries to high‑risk accounts to ensure complete and accurate financial records.
- Prepare key month‑end and year‑end reporting deliverables, ensuring accurate, timely, and detailed financial reporting.
- Maintain clear documentation and perform reconciliations with various government agencies, includi...
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