* Preparing cheques for utility, tax, payroll, and other company bills
* Using manual and computerized bookkeeping systems to keep, maintain and balance financial records
* Writing daily reports, preparing general ledgers, trial balance, and other financial statements
* Preparing and submitting pension forms, tax returns, and employees’ compensation forms
* Performing client bookkeeping services
* Preparing other accounting, statistical, and financial reports
* Reconciling financial accounts
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