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About This Opportunity
Job Description
Responsibilities (English)
- 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 data
Responsabilités (Français)