High degree of accuracy and attention to detail. Proven ability to conduct variance analysis after each financial close. Full Cycle booking of Journal Entries.
Monitoring credit card expenditures and credit limits; payments towards credit cards. Responsible for revenue cycle including invoicing, reconciliation of…
Accounts Payable (Match packing slips and purchase orders with invoices; Confirm receiving; Investigate discrepancy, Post data to our accounting program;…
This is a hybrid role with flexibility to work from home. CPA designation is preferred, with a strong understanding of Canadian accounting and tax principles.
Prepares financial information reports to provide current, important and relevant information for senior managers in the business areas in order to assist them…
University or college accounting program graduate. Currently enrolled and pursuing a CPA designation Previous experience with general accounting or full-cycle…
Superior working knowledge of accounting practices as applied to consolidated financial and management reporting, cash flow forecasting, financial statement…
Superior working knowledge of accounting practices as applied to consolidated financial and management reporting, cash flow forecasting, financial statement…
Prepare HST, Corporation tax filing and other government remittance form. Customer Focus - Personally demonstrates that external and internal customers are a…
Find community within the CWB family in our employee represented groups. Processes and records client payments and ensures all invoice payments are collected in…
Assisting with the implementation of the new reporting software and becoming a key power user to assist with the implementation of new reporting as required by…
Detail oriented with the ability to perform independent research, analyze information and reach strategic decisions. Compile information on audit queries;
Bachelor’s degree in accounting, Finance, Commerce, or a related discipline with CPA designation in progress. As a leading partner to the Canadian manufacturing…
Continued professional development of tax and accounting. Year end accounting of corporate clients. Performing audits of public and private company clients.
Performs cash reconciliations of bank and other cash accounts. Matches purchase orders with invoices and assist in A/R collections. 12 days of Paid Time Off.
$70,000 -
$75,000 a year
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