Reviews and processes routine accounting data for revenue and expenditures, reviews and reports financial transactions to funding sources, ensure accuracy, completeness, and compliance with provincial and federal requirements, and standard accounting and audit procedures.
Analyzes, reconciles, balances and maintain accounting records.
Distributes period financial reports, maintains physical inventories and assists with other clerical functions as required.
Accurately enter a variety of financial data into the general ledger.
Organize and file financial documentation to ensure proper record-keeping for audits.