Data entries, Bank/CC/Paypal transactions entriesBank reconciliationBills and invoices recording into accounting softwareCreate ad-hoc reports for various business needsPrepare GST/HST/sales tax documents and returnsCompile and analyze/review of financial statementsClient communication in English with Canadian/USA CPA, business owners, executives, etc.Preparing multiple reports in Excel through Pivot, Lookup, Filter, Macro (in the rare case), Data Validation, Freeze Panes, etc.