- Full-cycle Bookkeeping
- Payroll Calculations and Processing
- Government Remittances: Payroll, GST, PST, WCB
- Bank and Visa Statement reconciliations
- General Ledger Account Reconciliations
- Financial Statements and reports
- Processing T4s and ROEs
- Corresponding with Canada Revenue Agency
- Managing Accounts Receivable/Accounts Payable
- Fiscal Year End Preparation