Job Title

Accounting Technician

  • Type: Full Time
  • Location: Vancouver, BC
  • Employer Type: Business
  • Wage ($/hr): 26.11
  • Published on: 2024-01-24
  • Application Deadline: 2024-04-01
  • Job ID: 669740124
  • Job Category: Accounting

Western Pacific Trust Company

  • Full Time
  • Vancouver, BC
  • Retrieved on: 2025 June 15 07:41:55 PM EDT
  • Applications have closed

Job Description

Job Description:

Accounting Technician

Employer details: Western Pacific Trust

Company Job details

Location: Vancouver, BCV6C 1H2
Salary: 26.11 hourly / 37.5 hours per Week
Terms of employment : Permanent employment Full time
Day Shift
Start date: Starts as soon as possible
vacancies: 1 vacancy

Overview
Languages
English
Education: College/CEGEP

Experience

2 years to less than 3 years
Work setting: Head office

Responsibilities

Tasks
Calculate and prepare cheques for payroll
Keep financial records and establish, maintain and balance various accounts using manual and computerized bookkeeping systems
Prepare other statistical, financial and accounting reports
Prepare tax returns
Reconcile accounts
Prepare invoices, reports, memos, letters, financial statements and administer contracts and other documents

Experience and specialization
Computer and technology knowledge
ACCPAC
Database software
MS Excel
MS Outlook
MS Windows
MS Word
MS Office
Spreadsheet
Sage Accounting Software

Additional information

Personal suitability
Accurate
Client focus
Dependability
Judgement
Time management

Who can apply to this job?
Only apply to this job if:
You are a Canadian citizen, a permanent or a temporary resident of Canada.
You have a valid Canadian work permit.
If you are not authorized to work in Canada, do not apply. The employer will not respond to your application.

How to apply
By email
[email protected]

Required languages: English

Education level: College, CEGEP or other non-university certificate or diploma from a program of 1 year to 2 years

Required skills: Calculate and prepare cheques for payroll Keep financial records and establish, maintain and balance various accounts using manual and computerized bookkeeping systems Prepare other statistical, financial and accounting reports Prepare tax returns Reconcile accounts Prepare invoices, reports, memos, letters, financial statements and administer contracts and other documents

Closest intersection: V6C 1H2

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