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for Complete Description please visit our LinkedIn:
https://www.linkedin.com/company/campbell-haliburton-group
1 Main duties:
1.1 Keep financial records and establish, maintain and balance various accounts using manual and computerized bookkeeping systems.
1.2 Full cycle accounting process maintaining financial accounting records and prepare monthly financial statements for a portfolio of properties. (condos, commercial, rental, resort, and investment, development).
1.3 Post journal entries and reconcile accounts, prepare trial balance of books, maintain general ledgers and prepare financial statements.
1.4 Perform financial analysis to go into the month end reports.
1.5 Calculate and prepare cheques for payrolls and for utility, tax and other bills.
1.6 Respond to queries from owners, tenants, and investors.
1.7 Complete and submit tax remittance forms, workers' compensation forms, pension contribution forms and other government documents.
1.8 Provide information for estoppel certificates, when required.
1.9 Prepare tax returns and perform other personal bookkeeping services.
1.10 Liaison with our external auditors and accountants.
1.11 Prepare other statistical, financial and accounting reports.
1.12 Work with the community management team and the individual managers to deliver on our full customer service commitments.
1.13 Continue to contribute to the growth and improvement of C&H processes through weekly meetings and achieving quarterly goals.
1.14 Involve in Social Media activities.
1.15 Support on-going continuous improvement and growth initiatives, including proactively participating the weekly meetings, completing projects, and achieving quarterly goals.
Specific Skills
- Establish Work Schedule And Procedures
- Ensure Accuracy Of Financial Transactions