Full-Cycle Bookkeeper for CPA Firm Clients

C&P Partners CPA

Milton

On-site

CAD 42,000 - 60,000

Full time

43 hours ago
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Job summary

C&P Partners CPA in Milton, Ontario, is seeking a detail-oriented Bookkeeper with 2+ years of hands-on experience in public accounting or CPA firms. You will handle full-cycle bookkeeping, reconciliations, and financial reporting for a portfolio of clients in a fast-paced environment.

The role emphasizes accuracy, organization, and confidentiality, with responsibilities spanning monthly closings, GST/HST filings, payroll remittances, and collaboration with CPAs to prepare year-end documents.

Qualifications

  • Minimum 3 years of bookkeeping experience, ideally in a CPA firm.
  • Strong understanding of full-cycle bookkeeping.
  • Experience with GST/HST and basic tax support (T1/T2 exposure preferred).
  • Knowledge of Canadian payroll and compliance requirements.
  • Proficiency with accounting software (QuickBooks, Xero, Sage, etc.).
  • Experience with tax software (TaxPrep, Profile, etc.) is an asset.
  • Post-secondary education in Accounting or related field.

Responsibilities

  • Maintain accurate general ledgers for multiple clients
  • Record day-to-day financial transactions (AP, AR, payroll, expenses)
  • Perform monthly reconciliations (bank, credit card, intercompany accounts)
  • Prepare and post journal entries and working papers
  • Assist with month-end and year-end closing processes
  • Prepare monthly financial statements and supporting schedules
  • Identify discrepancies and resolve accounting issues proactively
  • Support accountants with year-end file preparation

Skills

Full-cycle bookkeeping
GST/HST
Canadian payroll
Attention to detail
Time management
Communication skills

Education

Accounting-related post-secondary education

Tools

QuickBooks
Xero
Sage
Tax software (TaxPrep, Profile)

Job description

C&P Partners CPA in Milton, Ontario, is seeking a detail-oriented Bookkeeper with 2+ years of hands-on experience in public accounting or CPA firms. You will handle full-cycle bookkeeping, reconciliations, and financial reporting for a portfolio of clients in a fast-paced environment.

The role emphasizes accuracy, organization, and confidentiality, with responsibilities spanning monthly closings, GST/HST filings, payroll remittances, and collaboration with CPAs to prepare year-end documents.

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