84 Jobs Found
Finance and administration director | LMIA Approved Full-time Job
Financial Services MississaugaJob Details
Requirements:
Languages: Candidates must have knowledge of the English Language.
Education: Candidates should have standard educational qualifications such as a College/CEGEP
Experience: Candidates need experience of 3 years to less than 5 years
Supervision: 3-4 people
Computer and technology knowledge: MS Excel, MS Office, MS PowerPoint, MS Word
Physical Requirements:
- The candidate should be able to work in a fast-paced environment and pay attention to detail.
Other Requirements:
- The candidate should have efficient interpersonal skills, excellent oral communication and excellent written communication skill.
- The candidate should be efficient and a good team player.
- The candidate should be organised and flexible in nature.
Responsibilities:
- The candidate should direct and advise staff engaged in providing records management, security, finance, purchasing, human resources or other administrative services, interview, hire and provide training for staff, plan, administer and control budgets for client projects, contracts, equipment and supplies.
- The candidate should plan, organize, direct, control and evaluate the operations of a department providing a single administrative service or several administrative services, prepare reports and briefs for management committees evaluating administrative services.
Benefits:
- The employees get health benefits such as Dental plan, Health care plan, Vision care benefits.
- The employees get other benefits such as free parking.
How to apply:
If the position is fit for you and the basic requirements are fulfilled then you can now apply (along with your resume) through below mentioned details.
By email
[email protected]
Be prepared for the screening questions
- Are you currently legally able to work in Canada?
- Do you have previous experience in this field of employment?
Finance and administration director | LMIA Approved
Green Life Inc
Mississauga - 21.63kmFinancial Services Full-time
46.50
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Finance Associate Analyst Full-time Job
Financial Services MississaugaJob Details
The Finance Associate Analyst, Customer Finance contributes to PepsiCo Beverages Canada’s success by acting as an integral part of the Canadian Finance team, supporting the sales organization. In addition to providing business and analytic support, this position contributes to PBC’s success by proactively monitoring business trends and identifying risks and opportunities to maximize PBC’s business performance. The position will include extensive involvement in PepsiCo’s transformational agenda with a focus on a seamless transition of PepsiCo’s trade management system. Success in this role will require results-driven behavior, solid organizational skills, intellectual curiosity, strong financial analytical skills, technical strength, interpersonal skills and the ability work both independently or as part of a team.
Responsibilities
- Obtain an understanding of legacy and go-forward systems to enable effective financial reporting throughout the system transition phase.
- Validate the accuracy of pricing and trade is being accurately recorded within PepsiCo’s systems utilizing established tools and analytical skills.
- Utilize models to ensure the effective reconciliation of customer payments against established trade accruals.
- Effectively communicate pricing, trade, and settlement issues to finance, sales, and IT leads.
- Provide insight and analysis into drivers of change for key metrics: vol, CDA, DNP, MC and profitability vs prior year and plan by division and product.
- Support in identifying any fluctuations between the plan/forecast and actual sales trend, communicate any concern, and help developing solutions for driving sales or for modifying /adjusting activities to variations from the plan.
- Provide insights and analytics that help the DOS/KAMs on customer team develop robust CAPS that delivers against AOP metrics and accurate QBP forecasts.
- Improve/simplify CF processes by analyzing current tools and systems and designing and implementing new procedures for more efficient reporting.
- Assist with ad-hoc and cross-functional projects as required.
Qualifications
- Bachelor’s Degree (business or accounting specialization preferred)
- An ability to work cross-functionally to gain an understanding of processes.
- Ability to prioritize and excel in a fast-paced environment.
- Excellent analytical and financial modeling skills
- Strong collaboration and communication skills
- Solid Excel, PowerPoint, and business enterprise solution skills
What you can expect from us:
- Competitive compensation, benefits, pension, RRSP contribution and vacation time
- A flexible working environment that promotes a healthy work-life balance
- A dynamic and inclusive culture that promotes you to bring your whole self to work.
- A supportive team that will encourage your professional growth and development.
- An opportunity to be meaningful and impactful within your work and projects.
#Li-Hybrid
Finance Associate Analyst
PepsiCo
Mississauga - 21.63kmFinancial Services Full-time
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Finance Analyst Full-time Job
Financial Services MississaugaJob Details
As a member of the internal reporting team the financial analyst will report to the Manager, Reporting. The individual plays a key role in the month-end and quarterly close process and the budget preparation. This position will also support the business in responding to various accounting enquiries and other projects as required.
Any MLF team member interested in being considered for this role are encouraged to apply online by May 01. Applications received beyond that date are not guaranteed consideration.
Snapshot of a Day-in-the-Life:
- Completion of various month end validation tasks using financial systems to ensure accuracy of balances
- Supporting SFAs in preparation of the monthly Management Control Report (MCR)
- Monthly preparation of journal entries into SAP and Business Planning Consolidation (BPC) and upload of manual data in BPC, where needed.
- Monthly preparation of balance sheet reconciliations and follow-ups
- Monthly filing of provincial sales taxes in coordination with tax team and keeping track of outstanding refunds.
- Co-ordination of the annual budget process with various functional groups and the preparation of the budget MCR schedules
- Perform ad hoc financial accounting analysis as required – system expert for data queries involving BPC
- Assist External Reporting Finance team, Tax team and other functional groups with specific requests or analysis of MCR balances
- Supporting Blackline administrator in setting up month-end reconciliations, Quarterly and year-end reporting, other duties and special projects, as required
- Involvement in quarterly testing of reporting internal controls (C3)
What You’ll Bring:
- Enrolled and working toward an Accounting Designation
- University degree Finance/Accounting
- Ability to work with a positive attitude and in a professional manner
- Lead continuous improvement initiatives
- Enjoy working in a fast paced, changing environment
- Strong communication skills
- Detailed oriented person
- Possess strong interpersonal and organizational skills
- Strong Excel skills
- Ability to work with minimum supervision and be a dedicated team player
What We Offer at Maple Leaf Foods:
- Being part of a high-performance, people-focused company that has an inspiring and unique vision to become the most sustainable protein company on earth, and a deep commitment to sustainable protein across North America.
- An inclusive company culture and a work environment that keeps our people safe, rewards excellence, and empowers everyone to learn and contribute their best.
- A hybrid work model that embraces remote work for eligible roles, helping team members achieve work-life balance—combining the best of both spending time working remotely, benefitting from focus time, and purposeful collaboration in the office setting.
- Competitive Health and Wellness benefits that offer flexibility to meet your individual or family needs, including programs focused on improving mental health and wellbeing. These benefits start on your first day of employment.
- Defined Contribution Pension Plan with company matching that starts on your first day of employment.
- Learning and development opportunities, including workshops, ‘speaker series’ events, and resources that allow you to develop your skills and progress your career.
- Comprehensive tuition reimbursement program that supports continuous learning and development of our team members through investment in eligible degrees, diplomas, professional certification, or trades programs.
- Supporting our deep commitment to community impact, we offer up to two paid days annually to volunteer at a cause of your choice.
We embrace a strong, values-based culture
Our eight Leadership Values are our north star. They guide the decisions we make for all our stakeholders: our consumers, our customers, our people, our communities, our shareholders, and the environment.
- Doing What’s Right
- Shared Value
- High Performance
- Diverse and Inclusive Teams
- Disciplined Decision Making
- Our Accountability
- Intense Curiosity
- Transparency and Humility
We thank all applicants for their interest in exploring employment opportunities with Maple Leaf Foods; however, only those selected for an interview will be contacted. Applicants may be subject to a background check and must meet the security criteria designated for the position.
Finance Analyst
Maple Leaf Foods Inc.
Mississauga - 21.63kmFinancial Services Full-time
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Junior Accountant Full-time Job
Financial Services MississaugaJob Details
Junior Accountant
Flynn Canada Ltd
Mississauga - 21.63kmFinancial Services Full-time
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Pricing Analyst Full-time Job
Financial Services MississaugaJob Details
The International Pricing Analyst is the key liaison between Day & Ross Trade Networks and our partner carriers to build superior solutions for our customers. Responsible for providing the correct balance of pricing and service to win with customers. This position is all about driving results by taking initiative, working closely with sales, customers, and carrier vendors where you will use your superior customer service skills and strong negotiation skills to provide the right pricing and service to win business and enabling our continuous growth. You will work collaboratively with other team members and through effectively providing guidance, coaching, and mentoring to the team, achieving a positive impact to our customer and corporate expectations.
How You’ll Help
- Monthly Rate updates and distribution
- Monthly designated carrier assignment and distribution
- Monthly pricing updates for all carriers, including all programs specific to those carriers.
- New Pricing Requests and cost negotiations
- Manage all invoice discrepancies.
- Building pricing, understanding costs, and controlling margins
Your Skills & Experience:
- Post-secondary degree in business or related field, university preferred.
- Minimum 3 years’ experience in rating and/billing in the transportation industry.
- A suitable combination of education and experience may be considered.
- International pricing experience, an asset.
- Excellent computer skills: including advanced Excel and the ability to learn new programs and platforms.
- Ability to work with and apply mathematical concepts to practical situations and scenarios
- Advanced communication skills including the ability to relay information (verbal and written) between several parties, across departments, functions, divisions; the ability to prepare detailed and accurate presentations both numerical and text driven.
- Troubleshooting and problem-solving skills; the ability to deal with variables and limited standardization and make solid decisions and recommendations
- Strong organizational and time management skills, including the ability to work under pressure and prioritize appropriately in a fast-paced setting.
- Ability to multitask in a deadline driven environment; appropriate sense of urgency and agility to handle changing priorities.
- Sound judgement and business acumen in developing and successfully implementing strategies to achieve profitability objectives.
- Results focused; able to hold others accountable.
- Strong team and customer service skills
To apply, visit our Careers page at dayross.com.
If you’re chosen for the role, you’ll be asked to provide reference and criminal background checks before employment. You’ll only be contacted if you’re selected for an interview.
Pricing Analyst
Day & Ross Inc.
Mississauga - 21.63kmFinancial Services Full-time
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Client Solutions Sales Advisor Full-time Job
Financial Services MississaugaJob Details
Job Overview:
As a Client Solutions Advisor you will be responsible for onboarding customers that have purchased a mortgage through our indirect mortgage salesforce. Your role will be to deepen customer relationships through the sale of banking solutions.
Is this role right for you?
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As a Client Solutions Advisor you’re results focused, driven, have strong sales acumen, and love meeting new people.
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You will be responsible for developing and maintaining a relationship of mutual trust and confidence with customers, Mortgage Brokers, and key Scotiabank partners including Home Financing Advisors (HFAs), Broker Relationship Managers (BRMs), Home Financing Lending Managers (HFLMs), Underwriters and other branch employees to ensure successful transition of the customer.
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You’re willing to work variable hours including weekends and evenings and you’re available to meet customers at times that are convenient for them both in person and virtually.
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You possess and maintain a valid driver’s license and have access to a vehicle during working hours.
Do you have the skills that will enable you to succeed in this role? We'd love to work with you if:
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You have proven experience excelling in a sales environment (across any industry), 2+ years of sales experience is preferred.
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You enjoy the challenge of exceeding targets, and you can effectively manage changing priorities .
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You have previous experience of achieving objectives relating to sales results, effective customer hand-off, and adherence to compliance for products delivered and services offered.
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You’re a relationship builder who is focused on providing a great customer experience and deepening relationships with both new and existing customers.
What's in it for you?
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Supportive environment with coaches that are inspired to help you exceed your goals.
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The tools you need to be successful providing customers with advice and product solutions.
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Lucrative compensation package that includes base salary and quarterly compensation, putting you in control of how much you can earn.
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Unique lead generation program, where we provide you, pre-approved customer leads to generate your sales from.
Client Solutions Sales Advisor
Scotiabank
Mississauga - 21.63kmFinancial Services Full-time
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Accounting technician Full-time Job
Raman Gumber CPA Professional Corp
Financial Services MississaugaJob Details
Requirements:
Languages: Candidates must have knowledge of the English Language
Education: Candidates needs College/CEGEP certificate.
Experience: Candidates needs experience of 1 year to less than 2 years
Responsibilities
Tasks
- Calculate and prepare cheques for payroll
- Keep financial records and establish, maintain and balance various accounts using manual and computerized bookkeeping systems
- Maintain general ledgers and financial statements
- Post journal entries
- Prepare other statistical, financial and accounting reports
- Prepare tax returns
- Reconcile accounts
How to apply
If the position is fit for you and the basic requirements are fulfilled then you can now apply directly to the employer (along with your resume) through below mentioned details.
By email
Accounting technician
Raman Gumber CPA Professional Corp
Mississauga - 21.63kmFinancial Services Full-time
27.25
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Senior Financial Analyst Full-time Job
Financial Services MarkhamJob Details
The Senior Financial Analyst provides complex transactional support for a process within a full accounting cycle and is knowledgeable in the full transactional details and accounting cycle and can effectively review all transactions within the portfolio and can communicate recommendations to senior stakeholders. Provides analysis, takes leads and makes recommendations for areas such as planning, forecasting, reporting, audit and process improvements.
This role will work in collaboration with all key BGIS departments to ensure full support of all activities and play a key role in our INTEGRATED approach to operating buildings.
Opportunities for Development:
At BGIS we are committed to the development of our people – offering them opportunities to learn and grow into various roles. Success in the role offers Team Members the opportunity to explore various roles – some include:
- Finance roles for different industry workstreams
- On account operations leadership roles in both Facility Management and Project Management
KEY DUTIES & RESPONSIBILITIES
Safety Ownership and Regulatory Compliance:
- Comply with all internal and external requirements including but not limited to environmental, health and safety, fire protection and mandated by BGIS Health Safety and Environment Teams and enforced by law.
Accounting
- Complex transactional support for a process within an accounting cycle
- Completes and resolves assigned complex or high volume account reconciliations
- Identifies and resolves complex transactional accounting discrepancies. Recommends solutions for accounting discrepancies and seeks involvement of management, where required
Accounting Policy
- Understand GAAP requirements relevant to the financial cycle or portfolio supported
Audit Support and Controls
- Intermediate understanding of internal/Client control requirements and seek guidance on complex areas. In addition to ensuring compliance.
- Maintains accurate and complete records for audits
- Gathers audit support data upon request
- Liaises with auditors to review audit support
Financial Systems
- Intermediate level knowledge of current accounting systems and MS Office suite of software
- Intermediate understanding and ability to document the transactional and financial data flows between relevant financial systems
- Able to work with IT and operational teams on intermediate and more complex system setups, as well as recommend technology improvements related to Finance
Planning/Forecasting
- Prepares more complex forecasts (internal and external) with the appropriate back-up (including assumptions and calculations)
- Responsible for partnering with stakeholders in preparation of forecasts
Analysis
- Prepares in-depth financial analysis (recurring and ad-hoc) and makes recommendations to internal and external stakeholders
Reporting
- Preparation and/or review of internal/external reports
- Presenting reports to stakeholders
- Prepares intermediate business cases
Scope/Complexity
- Single, high volume or multiple, low volume portfolios
- With complex transactions
- Some understanding of the broader portfolio
Interaction with Stakeholder
- Increased Stakeholder interaction
- Consults with Manager for significant issues with recommendations
- Generate transactional data and more complex analysis to support operational decision making, with recommendations
Financial Management/Contract Interpretation
- Strong understanding of financial obligations of portfolio and ability to investigate and interpret on areas as required.
- Ensures portfolio deliverables of a financial nature are met in a timely and efficient manner
- Monitors forecasted annual performance and recommends/assists in action plan
- Seeks guidance on contract/portfolio financial terms and conditions for assigned accounts
Process Adherence / Implementation
- Understand complex business processes and ensures compliance and ensures appropriate documentation
- Conducts root cause analysis on process gaps. Recommends major process improvements within assigned portfolio
- Prepares draft policies and procedures
Problem Solving
- Identification of basic issues or discrepancies
Technical and Business Knowledge
- Has gained an intermediate level of understanding of the industry and business which they support. Can answer basic questions regarding the general business.
- Has cultivated relationships with operational counterparts and has earned trust as a business partner.
KNOWLEDGE & SKILLS
- College/University graduation and CPA designation and 3-5 years of demonstrated experience
- Ability to communicate accounting principles to support procedures and to explain financial results within the team and to internal customers.
- Ability to complete and resolve assigned complex account reconciliation which sees the highest transaction volume or deal with multiple portfolios or business units.
- Ability to reconcile and resolve discrepancies between general ledger and sub ledger.
- Ability to identify and provide recommendations for issues and process improvement opportunities at account and business unit level following GAAP procedures.
- In-depth understanding of audit requirements within scope of responsibility.
- Ability to provide input to process documentations and business cases; write variance explanations, summaries of findings and recommendations.
- Advanced level knowledge of current accounting systems and MS Office suite of software
Licenses and/or Professional Accreditation
- Certified Professional Accountant (CPA)
Senior Financial Analyst
BGIS
Markham - 23.43kmFinancial Services Full-time
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Financial Shared Services Representative Full-time Job
Financial Services MarkhamJob Details
The Financial Shared Representative is responsible for accurate and timely processing of accounts payable payments according to established internal procedures
KEY DUTIES & RESPONSIBILITIES
Accounts Payable Processing
- Processes accounts payable payments in accordance to established processes
- Communicates with stakeholders such as suppliers to follow up, clarify information or resolve disputes (i.e. payment not made on time). Escalates to management, where required
- Liaises with business unit leaders to obtain approval for payments
- Handles scanned documentations with low data recognition and data enters missing data
- Reviews documents for compliance and completeness against established requirements. Identifies non-compliant items and missing information and obtains information to ensure compliance to established procedures and requirements
- Determines appropriate accounting codes to the documents according to business unit and expense/cost element type
- Performs mathematical calculations – additions, subtractions, multiplication and divisions – to verify for mathematical accuracy. Identifies errors and liaises with appropriate stakeholder for resolution. Escalates where required
- Validates accounts payable documentations against supporting documentations to ensure accuracy and completeness. Identifies and resolves issues and discrepancies in transactional accounting. Liaises with stakeholders and management for resolution
- Handles validation, matching, coding and approval exceptions. Liaises with business unit leaders to obtain approval exceptions
- Prepares electronic fund transfers and cheques for payments
- Enters accounts payable transactions into accounting systems
Vendor Set Up Process
- Completes vendor set up requisitions and works with Supply Chain Administration to complete vendor set up
Audit Support
- Files, maintains and retrieves documentations for audit support
- Other duties as assigned
EDUCATION, JOB-RELATED YEARS OF EXPERIENCE & QUALIFICATIONS
KNOWLEDGE AND SKILLS
- Community college diploma preferably in accounting
- 1 to 3 years of clerical accounting/accounts payable work experience
- Understanding of sales tax rules
- Ability to execute work according to established procedures
- Ability to identify and resolve accounts payable issues and discrepancies
- Ability to perform basic mathematical calculations – addition, subtraction, multiplication and division, along with ability to identify inaccuracies in data
- Ability to process a high volume of data requiring strong attention to detail and accuracy
- Ability to communicate effectively with others for the purpose of data exchange, clarification and dispute resolution
- Ability to exercise judgment
- Proficient with accounting systems, MS Office Excel and other MS Office software applications along with ability to quickly learn other information systems and software applications
Licenses and/or Professional Accreditation
Demonstrates an interest in attaining one or more of:
- Certified Accounts Payable Professional designation from Certified Accounts Payable Association (CAPA)
- Certified General Accounting
Financial Shared Services Representative
BGIS
Markham - 23.43kmFinancial Services Full-time
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Intermediate Financial Analyst Full-time Job
Financial Services MarkhamJob Details
The Intermediate Financial Analyst (FA II) provides complex transactional support for a process within an accounting cycle and/or full cycle accounting support for small scope contract(s) or business unit(s). At this level, the incumbent typically supports multiple portfolios or business units.
KEY DUTIES & RESPONSIBILITIES
- Provides complex transactional support for a process within an accounting cycle and/or full cycle accounting support for small scope contract(s) or business unit(s).
- Completes and resolves assigned account reconciliations.
- Prepares, gathers, consolidates and reports routine data.
- Prepares routine monthly reports.
- Prepares monthly client invoices.
- Prepares and reconciles basic audit working papers. Maintains accurate and complete records for audits. Gathers audit support data upon request. Documentation is reviewed prior to submission.
- Reviews results to determine accrual entries in coordination with internal managers.
- Reconciles month end results for simple contract(s) or business unit(s) for sub ledger reconciliations.
- Prepares bank reconciliations.
- Prepares month end journal entries.
- Reviews and enters time cards.
- Codes and validates expense reports, vendor invoices and procurement cards.
- Enters data to sub ledger systems and direct to G/L.
- Identifies complex and resolves basic transactional accounting discrepancies. May require management involvement.
- Identifies and recommends process improvement opportunities at an account level following GAAP procedures.
- Prepares memos and provides variance explanations. Summarizes findings and recommendations. Provides input to process documentations.
KNOWLEDGE & SKILLS REQUIRED
- Job-Related Experience: 3-5 years or more
- College Diploma or equivalent training (e.g. RPA, CET)
- Ability to identify complex and resolve basic transactional accounting discrepancies
- Ability to identify and recommend process improvement opportunities at an account level following GAAP procedures.
- Ability to communicate basic accounting principles to support procedures and to explain financial results within the team and to internal customers.
- Ability to prepare memos, provide variance explanations and input to process documentations, and write summaries of findings and recommendations.
- Intermediate level knowledge of current accounting systems and MS Office suite of software
Licenses and/or Professional Accreditation
- Partially completed an Accounting designation program (CGA, CMA)
Intermediate Financial Analyst
BGIS
Markham - 23.43kmFinancial Services Full-time
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Intermediate Financial Analyst Full-time Job
Financial Services MarkhamJob Details
The Intermediate Financial Analyst (FA II) provides complex transactional support for a process within an accounting cycle and/or full cycle accounting support for small scope contract(s) or business unit(s). At this level, the incumbent typically supports multiple portfolios or business units.
KEY DUTIES & RESPONSIBILITIES
- Provides complex transactional support for a process within an accounting cycle and/or full cycle accounting support for small scope contract(s) or business unit(s).
- Completes and resolves assigned account reconciliations.
- Prepares, gathers, consolidates and reports routine data.
- Prepares routine monthly reports.
- Prepares monthly client invoices.
- Prepares and reconciles basic audit working papers. Maintains accurate and complete records for audits. Gathers audit support data upon request. Documentation is reviewed prior to submission.
- Reviews results to determine accrual entries in coordination with internal managers.
- Reconciles month end results for simple contract(s) or business unit(s) for sub ledger reconciliations.
- Prepares bank reconciliations.
- Prepares month end journal entries.
- Reviews and enters time cards.
- Codes and validates expense reports, vendor invoices and procurement cards.
- Enters data to sub ledger systems and direct to G/L.
- Identifies complex and resolves basic transactional accounting discrepancies. May require management involvement.
- Identifies and recommends process improvement opportunities at an account level following GAAP procedures.
- Prepares memos and provides variance explanations. Summarizes findings and recommendations. Provides input to process documentations.
KNOWLEDGE & SKILLS REQUIRED
- Job-Related Experience: 3-5 years or more
- College Diploma or equivalent training (e.g. RPA, CET)
- Ability to identify complex and resolve basic transactional accounting discrepancies
- Ability to identify and recommend process improvement opportunities at an account level following GAAP procedures.
- Ability to communicate basic accounting principles to support procedures and to explain financial results within the team and to internal customers.
- Ability to prepare memos, provide variance explanations and input to process documentations, and write summaries of findings and recommendations.
- Intermediate level knowledge of current accounting systems and MS Office suite of software
Licenses and/or Professional Accreditation
- Partially completed an Accounting designation program (CGA, CMA)
Intermediate Financial Analyst
BGIS
Markham - 23.43kmFinancial Services Full-time
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Financial Coordinator Contract Job
Financial Services MarkhamJob Details
The Financial Coordinator is accountable for providing transactional support for a process within an accounting cycle. Specific accountabilities include validation and processing of expense reports, p-card logs and time and labour hours.
KEY DUTIES & RESPONSIBILITIES
- Validates completeness and accuracy of time and labour hours and follows up on missing information to ensure timely processing.
- Reconciles the PCard Log to the PCard Statement, ensures completeness and accuracy, reviews supporting documentation, follows upon on missing information, and ensures proper authorization has been received.
- Pulls supporting documentation as directed by Finance for audit support
- Files processed documents according to the various filing categories within the established time frame
- Sorts, date stamps and distributes incoming mail on a daily basis.
- Other duties as assigned.
FINANCE SPECIFIC SCOPE/DEFINITION
Portfolio Scope/Complexity
- High volume, recurring, routine and basic transactional processing
Complexity of Accounting
- Requires basic understanding of project coordination, purchasing and accounting systems.
Involvement in Full Cycle Accounting
- Transactional support for a process within an accounting cycle (i.e. processing expense reports, p-card logs and time and labour reports)
Preparation of Financial Information
- Gathers data for data processing
- Minimal reporting – i.e. p-card suspense log, missing time and labour reports, and other ad hoc reporting
Reporting Audience/User of Financial Information
- Internal vertical reporting
- External suppliers
Audit Support
- Files and retrieves documentation for audit support
- Documentation is reviewed prior to submission
Operations vs. Strategic Decisions
- Basic policy adherence decisions
Problem Solving
- Identification of non-compliance items
- Vendor dispute resolution
- Coding discrepancies
Interaction with Client/Management
- Significant interaction with internal operations team
- Interaction with vendors
EDUCATION, JOB-RELATED YEARS OF EXPERIENCE & QUALIFICATIONS
MINIMUM EDUCATION: Community college diploma or equivalent training (e.g. RPA, CET)
JOB-RELATED EXPERIENCE: More than one year up to three years
Knowledge & Skills
- Advanced knowledge of current purchasing and payables accounting systems and MS Office suite of software
- Ability to process high volume data with accuracy
- Ability to communicate clearly with colleagues and vendors for the purpose of data clarification and exchange, and follow up
- Ability to identify non-compliance items (i.e.) insufficient authorization, missing signature
- Ability to make basic policy adherence decisions
- Ability to resolve vendor disputes
- Ability to identify data discrepancies – (i.e.) coding, validation
Licenses and/or Professional Accreditation
- None required
- Demonstrates interest in pursuing a career in Accounting. Explores potential licenses and professional accreditation options
Financial Coordinator
BGIS
Markham - 23.43kmFinancial Services Contract
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