- Reconciling general ledgers, bank statements and balance sheets
- Analyzing financial data and managing employee or business expenses
- Preparing financial statements for management, shareholders and tax reporting
- Filing business taxes and ensuring compliance with local, provincial and federal regulations
- Conducting internal audits and variance analyses to identify trends or discrepancies
- Forecasting cash flow and making recommendations based on performance data
- Maintaining internal controls and accounting systems to support accuracy and prevent fraud