Full Time
18,000/month
TBD
Jan 4, 2016
Prepare accurate and timely financial statements and supporting financial information
Prepare daily journal entries and general ledger account reconciliations
Prepare and analyze monthly/quarterly/annual financial statements and management reports accurately and in a timely manner
Assist in meeting Tax Compliance including, Annual Corporate Tax Filings and Monthly Sales Tax Filings.
Reconcile all corporate banking transactions
Complete monthly cash flow analysis
Maintain overall responsibility for accounts payable, receivable and payroll