Controller - 3 months
The Mason Group
The Controller will maintain an accurate and complete set of financial books for the company and any of its related entities as well as calculate and process payroll accordingly. They will ensure payroll deductions are accurate and remitted to CRA on time, as well as ensuring all applicable filings (e.g., T4, T4A, etc.) are performed accurately and on time. Additionally:\r\nProcess Accounts Payable requests and reconcile Vendor accounts accordingly.\r\nPerform daily accounting duties - including monitoring cash balances, posting journal entries, preparing, and overseeing account reconciliations\r\n\r\n
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TMGCT\r\n"
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