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Accounts payable-purchase orders-issuing and matching to invoice, packing slips, completion of receiving reports, bills, entry into accounting system, track in shop order database, process vendor cash disbursements, resolve discrepancies. Calculation of estimated accounts payable at month end.
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Maintain production data-process daily time sheets, scrap reports, produce management reports
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Preparing of biweekly payroll and related government remittances
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GST reconciliation and return
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Maintain petty cash and related receipts
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Monthly bank reconciliation (CAD,USA, EUR)
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Inventory-monthly journal enteries to record direct materials, labour and overhead per job in accounting system. Enter jobs in accounting software to facilitate allocation of costs.
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Bookkeeping projects and tasks as requested