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Job Duties
-Post Journal entries.
-Reconcile accounts.
-Payroll functions.
-Prepare checks.
-Complete & submit tax remittance forms.
-Prepare other financial & accounting reports.
-Prepare & send member monthly statements.
-Maintain Payable and Receivable accounts.
-Daily POS & bank reconciliation.
-Experienced in Microsoft Excel & Word.
-Attention to detail.
Co-op experience would be an asset, but a requirement.