Bachelor's degree
1 year
Whitby
Full Time
$29.25 /Per Hour
English
2024-07-31
CAJ3520704
2025-01-27
Bookkeeper Location: Unit 230, 5589 Byrne Road, Burnaby, BC V5J 3J1Workplace: On siteSalary: 27.00 hourly / 32 to 40 hours per WeekTerms of employment: Permanent employment Full timeStarts: as soon as possibleVacancies:1 vacancyLanguages: EnglishEducation: Secondary (high) school graduation certificateExperience: 1 year to less than 2 yearsOn site requirement: Work must be completed at the physical location. There is no option to work remotely.Responsibilities: Calculate and prepare cheques for payroll Calculate fixed assets and depreciation Keep financial records and establish, maintain and balance various accounts using manual and computerized bookkeeping systems Maintain general ledgers and financial statements Post journal entries Prepare other statistical, financial and accounting reports Prepare trial balance of books Computer and technology knowledge MS Excel MS Office Personal suitability Accurate Organized How to apply By email- hr@perceptarch.ca
TasksCalculate and prepare cheques for payrollCalculate fixed assets and depreciationKeep financial records and establish, maintain and balance various accounts using manual and computerized bookkeeping systemsMaintain general ledgers and financial statementsPost journal entriesPrepare other statistical, financial and accounting reportsPrepare tax returnsPrepare trial balance of booksReconcile accountsExperience and specializationComputer and technology knowledgeTally ERPAccounting softwareMS ExcelMS OutlookQuick BooksTaxPrepMS OfficeArea of specializationAccountingAdditional informationWork conditions and physical capabilitiesAbility to work independentlyAttention to detailFast-paced environmentPersonal suitabilityExcellent oral communicationExcellent written communicationTeam playerTime management
Calculate and prepare cheques for payrollKeep financial records and establish, maintain and balance various accounts using manual and computerized bookkeeping systemsMaintain general ledgers and financial statementsPost journal entriesPrepare other statistical, financial and accounting reportsPrepare tax returnsPrepare trial balance of booksReconcile accounts
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