Position Overview
Responsibilities
- Prepare period-end accruals and journal entries
- Complete account reconciliations and resolve discrepancies
- Support consolidated financial reporting and variance analysis
- Assist with month-end close processes and ad hoc reporting
- Support interim and annual audit requirements
- Partner cross-functionally to ensure accurate expense coding and financial reporting
- Help identify opportunities to improve processes, drive efficiencies, and support cost-saving initiatives
Qualifications
- Post-secondary degree in Business, Accounting, Finance, Economics, or a related field
- Minimum 2 years of Canadian full-cycle accounting experience
- Public practice experience is considered an asset
- Advanced Excel skills, including experience with PowerQuery and large data sets
- Power B...