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Our current portfolio consists of 5 different business including; Olympia Mediterranean Restaurants is a restaurant group that excels at bringing new stores that highlight the latest culinary trends, designs, and service styles. Operationally we are dedicated to offering the highest quality service, food, beverage and experience. We strive to bring in the best people for the job and value employees who add value to our concepts. Company may assist in the LMIA work visa process.
Description
Major duties will include coding and posting vendor invoices, process payable cheques, answering vendor inquiries, preparing daily bank deposit and accounts reconciliation, as well as assisting with other accounting, inventory control duties.
Responsibilities; The successful candidate will ensure accurate, timely and complete financial reporting, including management of:
-Management Reports: Weekly, Monthly, quarterly and annual Financial Statements
-Gather information from the sales of the business and to reconcile with banks cash vs receivables.
-Entry of cash receipt transactions and recording accounts payable transactions and collect on past due invoices maintain receivables and accounts payable
-Payroll: Participate in and coordinate payroll processing and ensure the accuracy of the payroll processing and maintain and discuss with management in regards employee attendance, status changes, and payroll adjustments.
-Maintain personnel files and records ensuring confidentiality
Maintain and up to-date all the taxes accordingly; GST, HST, PST, Payroll, WCB and year-end tax filings:
-Keep maintain entries of tips; calculate the receiving tips and paid out accordingly to the servers and kitchen staff
-Enter all approved invoices received daily into Accounts Payable system
Required
-Attention to detail with aptitude for numbers
-Must possess excellent organizational skills and be able to multitask.
Additional Skills
- Train staff
Accountant Specific Skills
- Provide financial, business and tax advice
- Prepare financial information for individuals, departments or companies
- Prepare financial statements and reports
- Prepare income tax returns from accounting records
- Plan, set up and administer accounting systems
- Examine accounting records
- Develop and maintain cost findings, reporting and internal control procedure