Hello everyone,
I require a bit of help from the experts/experienced on NOC 1111 Accountant Duties. I am currently in Australia, worked as an Accountant and planning to migrate to canada. I calculated my CRS score 446 with spouse.
Job duties on my contract paper are written below. Are they good enough for the NOC 1111:
- Manage the entire engagement process on selected clients, including negotiating engagement amount, managing and completing the work, exit interview and billing.
Drafting engagement letters, audit reports and visiting client sites.
Update and maintain our client database.
Preparing Individual, Partnership, Company, Tax Returns and financial Statements for the Same Entities.
Preparing business activity statements & GST return.
Dealing with raw data & Input into the Software.
Liaising with clients and maintaining relationships with external stakeholders, such as ATO , ASIC and opening ABN and ACN.
Advise client on the impact of new laws on tax liabilities
Bank Statement Reconciliation & Process Month end Journals.
Prepare and accurately submissions and end of financial year reconciliation.
Manage tax planning and forecasting to be aligned with the tax strategy.
Provide guidance to the business on tax compliance.
Prepare financial analysis and report in meaningful way for clients.
Prepare cash flows and profit and loss forecasts.
badly need help on this!!!!!!!
Thanks in advance!
I require a bit of help from the experts/experienced on NOC 1111 Accountant Duties. I am currently in Australia, worked as an Accountant and planning to migrate to canada. I calculated my CRS score 446 with spouse.
Job duties on my contract paper are written below. Are they good enough for the NOC 1111:
- Manage the entire engagement process on selected clients, including negotiating engagement amount, managing and completing the work, exit interview and billing.
Drafting engagement letters, audit reports and visiting client sites.
Update and maintain our client database.
Preparing Individual, Partnership, Company, Tax Returns and financial Statements for the Same Entities.
Preparing business activity statements & GST return.
Dealing with raw data & Input into the Software.
Liaising with clients and maintaining relationships with external stakeholders, such as ATO , ASIC and opening ABN and ACN.
Advise client on the impact of new laws on tax liabilities
Bank Statement Reconciliation & Process Month end Journals.
Prepare and accurately submissions and end of financial year reconciliation.
Manage tax planning and forecasting to be aligned with the tax strategy.
Provide guidance to the business on tax compliance.
Prepare financial analysis and report in meaningful way for clients.
Prepare cash flows and profit and loss forecasts.
badly need help on this!!!!!!!
Thanks in advance!