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- Keep financial records and establish, maintain and balance various accounts using manual and computerized bookkeeping systems.
- Calculate and prepare cheques for payroll.
- Calculate fixed assets and depreciation.
- Calculate and prepare cheques for payrolls and for utility, tax and other bills.
- Maintain general ledgers and financial statements.
- Prepare other statistical, financial and accounting reports.
- Prepare tax returns.
- Prepare trial balance of books.
- Reconcile accounts.
- Post journal entries.