Accountant in Montreal, Quebec
Managed financial transactions and record-keeping with strict attention to detail. Generated invoices and monthly statements. Communicated with clients to address inquiries and resolve issues. Collaborated extensively with external auditors to provide in-depth assistance. Proficiency with admin panels of most of the tools used for accounting. Record and categorize financial transactions. Creating customer invoices and collecting payments. Process payroll and remit payroll deductions. Conduct bank and credit card account reconciliations. Generate monthly financial statements such as income statements, balance sheets, and cash flow statements. Maintain general ledger and chart of accounts. Reviewing financial statements and account balances. Perform financial analysis Review and audit balances. Creating a detailed profit and loss report for current business manually in Excel.
Accounting system setup
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