Managing and providing leadership to the company's accounting department
Monthly bank reconciliations, HST filings, and reconciling of related party accounts
Assist the company in the preparation of all required government reports and remittances
Ensure that the company complies with all legal and regulatory requirements
Report risk issues to company management
Preparation and updating of weekly cash flow statements
Reconciliation of all bank statements and credit cards
Responsible for all year‑end activities including reconciliation of GL accounts and recordings, binder preparation and documentation, review engagements and follow up, and provide tax return assistance as needed