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Enter financial data: sales, purchases, expenses, and other routine transactions
Perform monthly bank reconciliations and account monitoring
Prepare client invoicing, follow up on payments, and issue reminders as needed
Reconcile and manage corporate credit cards
Prepare and reconcile payroll
Prepare GST/QST returns and other tax obligations
Monitor accounts payable and follow up on outstanding balances
Prepare monthly reports
Support month-end closing and preparation of financial information for management
Participate in improving accounting processes and implementing internal controls
Ensure compliance with company accounting policies and tax regulations
Collaborate with other finance team members to ensure accurate and high-quality da...