Bookkeeper at Demand Planners INC
Mississauga, ON L4Z 3N1, Canada -
Full Time


Start Date

Immediate

Expiry Date

15 Nov, 25

Salary

18.5

Posted On

15 Aug, 25

Experience

1 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Bookkeeping, Account Reconciliation, Organization Skills, Microsoft Office, Microsoft Excel, Zoho, Quickbooks, Accounting Standards

Industry

Accounting

Description

ABOUT US

Demand Planners is team of passionate foodies that take care of the Product, the Process and the People.
Our Inhouse Brands and other global brands we Represent in Canada. We deliver them to the retailer in most efficient way to serve end consumer needs.​
We bring the best products and brands to the consumer. Our nationwide major clientele along with distribution network helps international brands to reach Canadian consumer. We carefully source products with the consumer and retailer in mind.
We believe in caring consumer health and wellbeing and put the Health and care before our profitability.
Our values guide us in sourcing products made with the best ingredients and zero animal by-products, which makes us a 100% vegetarian company. We are professional, agile, and innovative.

Our work environment includes:

  • Modern office setting
  • Growth opportunities
  • International workforce
  • Safe work environment
  • Lively atmosphere

Relevant Skills and Knowledge

  • Basic accounting knowledge and understanding accounting best practices
  • Knowledge of Canadian accounting standards for private enterprises
  • Data entry skills, strong mathematical skills and extensive experience in account reconciliation
  • High attention to detail and work with a high level of accuracy
  • Proficiency in Microsoft Excel and Microsoft Office
  • Professionalism and organization skills
  • Associates degree or diploma in accounting
  • At lease 2-3 year of bookkeeping experience in industry
  • Knowledge of Zoho, QuickBooks and other accounting applications

Job Duties and Responsibilities

  • Maintain an accurate record of financial transactions on daily basis
  • Maintain up to date trial balance duly reconciled with general ledger and sub ledgers
  • Account reconciliation (including bank and credit card) to assert the accuracy of transactions
  • Review and reconcile Inventory from external record to general ledger and report discrepancies
  • Accurate HST, ETD, EHT and WSIB filings on timely basis
Responsibilities
  • Maintain an accurate record of financial transactions on daily basis
  • Maintain up to date trial balance duly reconciled with general ledger and sub ledgers
  • Account reconciliation (including bank and credit card) to assert the accuracy of transactions
  • Review and reconcile Inventory from external record to general ledger and report discrepancies
  • Accurate HST, ETD, EHT and WSIB filings on timely basi
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