Terces Jobs is also available in your country: United States. Starting good opportunities here now!

320 Jobs Found

Date
  • Sort by
  • Price : Low to High
  • Price : High to Low
  • Date

Accounts Receivable Analyst Full-time Job

BGIS

Financial Services   Markham
Job Details
The Accounts Receivable Analyst is responsible for accurate and timely processing of customer receipts to established internal policies, process, and work instructions, as well as financial reporting of Accounts Receivable results. In addition, this team member will provide customer statements, respond to customer inquiries, and act as the initial point of contact for all account inquiries.

 
Customer Receipts Processing
Processes customer payments (receipts) in accordance to established processes.
Communicates with concerned parties such as client or product line controllers and the client’s payables department to follow up, clarify information or resolve disputes (i.e. payment not made on time). Escalates to management, where required.
Communicates with clients to set up electronic fund transfers (EFTs) for payments.
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.
Ensures cash is applied in the appropriate customer within the company ERP.
Ensures cash application policies and procedures are complete and updated on a regular basis.
Identifies areas of process improvement and participates in automation of cash application and accounts receivable tasks.
Prepares, documents and performs bank deposits.
Review customer funds received and prepare analysis for treasury to transfer funds to the appropriate client or BGIS bank account.

 
Accounts Receivable Monitoring
Monitors notice of payments and contacts client if funds not received to verify wire details correct.
Reviews unapplied cash receipts and follows up with concerned parties to find out payment details. Escalates issues to management that cannot be resolved.
Prepares accounts receivable (AR) aging reports and performs analysis where required (ex. AR sub-ledger vs Trial Balance).
Prepares various balance sheet schedules to support reconciliation of AR vs TB.
Calculates revenue provisions for doubtful accounts.
Works with client account or product line finance to gather information required to process client set up requisitions.
Files, maintains, and retrieves documentation for audit support.
Assists with preparing customer statements & communicating directly with clients, escalating to the Manager as needed.
Understands pertinent construction law in order to advise internal stakeholders of potential risks within individual accounts. 

 
Problem Solving
Account reconciliation (Financial Analysis / Investigation).
Create and analyzing reports.
Understands the internal organizational structure in order to connect with the appropriate groups for payment errors and inquiries.
Other duties as required.

Accounts Receivable Analyst

BGIS
Markham
  Financial Services Full-time
The Accounts Receivable Analyst is responsible for accurate and timely processing of customer receipts to established internal policies, process, and work instructions, as well as...
Learn More
Feb 3rd, 2025 at 15:20

Payroll clerk Full-time Job

Zenith Training Center

Financial Services   Winnipeg
Job Details

Overview

Languages

English

Education

  • No degree, certificate or diploma

Experience

Experience an asset

On site

 Work must be completed at the physical location. There is no option to work remotely.

Responsibilities

Tasks

  • Calculate and prepare cheques for payroll
  • Prepare statements of earnings for employees, indicating gross and net salaries and deductions such as taxes, union dues, garnishments and insurance and pension plans
  • Store, update and retrieve financial data
  • Perform clerical duties, such as maintain filing systems
  • Prepare monthly statements
  • Inform employees about payroll matters and benefit plans
  • Maintain payroll
  • Maintain records of employee attendance, leave and overtime to calculate pay and benefit entitlements, using manual or computerized systems

 

How to apply

By email

enterprisesjafri394@gmail.com

How-to-apply instructions

Here is what you must include in your application:

  • Cover letter

 

This job posting includes screening questions. Please answer the following questions when applying:

  • Are you available for shift or on-call work?
  • Are you currently a student?
  • Are you currently legally able to work in Canada?
  • Are you willing to relocate for this position?

Payroll clerk

Zenith Training Center
Winnipeg
  Financial Services Full-time
  26.50
Overview Languages English Education No degree, certificate or diploma Experience Experience an asset On site  Work must be completed at the physical location. There is no option t...
Learn More
Jan 31st, 2025 at 15:10

Accounting Associate - Rotation Program Full-time Job

Linamar Corporation Plc

Financial Services   Guelph
Job Details

The Accounting Associate position is responsible for planning, organizing, and administrating specialized accounting activities associated with maintaining ledger accounts and for developing financial statements and reports. This position is suitable for a recent graduate from an accounting program who is ready to start the CPA program.

The successful candidate will spend 3 years gaining experience by rotating through various Linamar operations in Guelph, ON. You will have exposure to areas such as Consolidations, Global Finance, Group Office and Operations Accounting. Employees who have previously completed this program are successfully working in all areas of Accounting and Finance within Linamar both locally and internationally.

 Responsibility

  • Prepare all month end reconciliations journal entries with complete back up in a timely and accurate manner.
  • Prepare and support the financial statements, reconciliations and reports in a timely manner.
  • Complete product line income statements and variance analysis with explanations for all significant items.
  • Prepare, evaluate, and assist with accurate processing of monthly accounts payable and accounts receivable aging.
  • Process the entry of accounts payable on a weekly basis, with three-way matching to purchase orders and packing slips.
  • Prepare the bi-weekly payment processing for all corporate payables.
  • Process all corporate manual expense reports.
  • Review and track all corporate credit statements with approval and receipts.
  • Assist with preparation of annual budget, five-year business plan, and a twelve-month rolling forecast as needed.

Academic/Educational Requirements

  • Post-Secondary Education in Accounting, Business or related discipline,
  • Candidate should be prepared to enroll in the CPA program.
  • Candidate must have the requisite educational requirements to enroll in the CPA program.

Required Skills/ Experience

  • Recent graduate with prior co-op experience.
  • Ability to evaluate the accuracy of financial data.
  • Ability to prepare financial summaries such as balance sheets and income statements.
  • Ability to work in a fully computerized environment including advanced Excel skills.

What Linamar Has to Offer

  • Competitive Compensation
  • Employee Benefits package includes but not limited to, Drug, Dental & Vision etc. 
  • Opportunities for career advancement.
  • Sustainability Counsel 
  • Community based outreach supporting both local and global initiatives and charities. 
  • Discounts for local vendors and events, including auto supplier discounts.

Accounting Associate - Rotation Program

Linamar Corporation Plc
Guelph
  Financial Services Full-time
The Accounting Associate position is responsible for planning, organizing, and administrating specialized accounting activities associated with maintaining ledger accounts and for...
Learn More
Jan 31st, 2025 at 14:51

ACCOUNTING ASSISTANT 1 Full-time Job

City Of Toronto

Financial Services   Toronto
Job Details
  • Posting Period: 30-Jan-2025 to 13-Feb-2025

 

Job Summary:

 

Reporting to the Supervisor, Revenue Services, the Accounting Assistant 1 directs the unit’s staff in performing accounting duties pertaining to accounts receivables, purchasing, internal control and in researching, analyzing and reconciling to general ledger and ensures compliance with established corporate policies, procedures and practices.

 

Major Responsibilities:

 

  • Performs accounting duties such as reviewing, researching, analyzing and reconciling ledger accounts, setting up and maintaining expenditures and revenue working papers, spreadsheets and reconciliation to general ledger.
  • Researches and analyzes financial information to verify validity of transactions processed in SAP.
  • Prepares the monthly departmental financial analysis and reports for divisions.
  • Prepares and maintains accounts functions including vendor account reconciliation, preparing, reviewing, posting and reconciling journal entries.
  • Prepares financial statements and expenditure reports i.e. capital expenditure reports, Council initiated special projects expenditure reports, and reserve fund schedules.
  • Reviews financial system reports, i.e. variance, cost center, miscellaneous accounts. Makes comments or corrections as necessary.
  • Analyses and reconciles account balances.
  • Prepares, reviews, and posts journal entries
  • Co-ordinates projects and assignments.
  • Directs accounting staff (example: Accounting Assistant 2 and Accounting Assistant 3) and provides training, advice and guidance as needed.
  • Provides assistance on accounting, financial and purchasing related matters to the Divisions, including oversight of accounting functions ensuring compliance with divisional and corporate policies and procedures and all relevant by-laws including interpretation of policies, by-laws, agreements/contracts and council reports.
  • internal and external parties.
  • Provides financial analysis, claims and other information to the Divisions as requested.
  • Creates ad hoc financial system reports for analysis purposes.
  • Ensures internal controls for petty cash are maintained in accordance with City by-laws and policies
  • Co-ordinates with the City, Provincial and Federal Auditors
  • Prepares working papers for year-end closing.

 

Key Qualifications:

Your application must describe your qualifications as they relate to:

 

  1. Post-secondary education in Business Administration, Accounting or related field or completion of a professional accounting designation (i.e.CPA) or the approved equivalent combination of education and extensive experience related to accounting and procurement.
  2. Extensive accounting and purchasing experience in municipal accounting, financial and internal controls applied in an operating environment or relevant private sector experience in accounting, purchasing and financial reporting.
  3. Considerable experience providing work direction and training to accounting staff.
  4. Considerable experience using Microsoft Office Suite (e.g. Word, Excel, Outlook and PowerPoint).
  5. Considerable experience using SAP or an equivalent financial information system.

 

You must also have:

 

  • Advanced knowledge in investigating and analyzing administrative processes including but not limited to accounting payable, accounts receivable, and/or business process in efficiencies/problems, recommending solutions and implementing decisions and analyzing financial data, preparing financial reports.
  • Proficiency in Excel relating to organizing, analyzing, and reporting data for management decision making.
  • Excellent organizational and multi-tasking skills, with the ability to work independently with minimum supervision, prioritize work schedules, plan and execute assigned duties within tight timelines.
  • Good knowledge and understanding of City’s by-laws, policies, and procedures with respect to purchasing, accounting, accounts payable, accounts receivable and financial reporting.
  • Demonstrated ability to establish good working relationships with staff, operating management and outside departments, agencies and clients.
  • Well-developed interpersonal skills with a demonstrated ability to communicate effectively both orally and in writing at all organizational levels and other organizations.
  • Strong coordination skills with the ability to meet deadlines and work with minimum supervision.
  • Excellent conflict resolution and problem-solving skills.
  • Ability to work cooperatively as part of a team.
  • Ability to exercise independent judgement and discretion in dealing with confidential operational matters.

ACCOUNTING ASSISTANT 1

City Of Toronto
Toronto
  Financial Services Full-time
  41.33  -  45.26
Posting Period: 30-Jan-2025 to 13-Feb-2025   Job Summary:   Reporting to the Supervisor, Revenue Services, the Accounting Assistant 1 directs the unit’s staff in performing account...
Learn More
Jan 30th, 2025 at 16:11

Senior Financial Business Partner - UE Full-time Job

City Of Saskatoon

Financial Services   Saskatoon
Job Details

The City of Saskatoon is looking for our new permanent full-time Senior Financial Business Partner!

The work you'll be involved in:

The Senior Financial Business Partner is responsible  for planning, directing, coordinating, integrating and delivering senior financial business support functions for the Utilities and Environment Portfolio. Responsibilities will include:

 

  • Leads a financial team responsible to provide expert business support and partnerships with the following City of Saskatoon Divisions: Saskatoon Light & Power, Saskatoon Water, Water & Waste Operations, Sustainability, and Facilities Management.
  • Leads and coordinates the budgeting process and participates in business and strategic planning for each Division.
  • Supports organizational change initiatives and associated process improvement.
  • Establishes and maintains strategic relationships with assigned portfolios to assist and support the achievement of corporate initiatives.  
  • Oversees day-to-day finance functions such as time and attendance processing, accounts payable, accounts receivable.
  • Research, implement and train on financial controls. 
  • Ensures the accuracy, completeness, and accessibility of financial information.  Leads the analysis and reporting of this data to assess trends, performance, and sustainability of various initiatives or programs along with exploring potential scenarios to guide future decisions.
  • Ensures information used to assess the viability of initiatives is relevant, appropriate, plausible, complete and accurate.
  • Coordinates the financial aspects of Annual Performance Reports for all business areas within the Divisions.
  • Provides professional advice to the Divisions relating to financial planning and accountability, report writing, and business planning.
  • Monitors the long-term financial status of all reserves and provides oversight in this regard to the General Manager and Department Directors.
  • Oversees and analyzes all depreciation and asset evaluation processes within the Divisions, including the Tangible Capital Asset reporting requirements.
  • Ensures Departmental financial strategies and policies are aligned with corporate strategies and policies.
  • Provides outcome-based direction in the preparation of all Divisional operating and capital budgets.  Reviews, research, and proposes options for the financing of capital and operating programs.
  • Develops and manages all communications strategies relating to Divisional financial programs including marketing, customer or utility rates, and customer service/interface functions within the Divisions.
  • Oversees all accounting and cash handling procedures for the Divisions.  Coordinates periodic audits and inspections to verify procedures are being strictly adhered to.
  • Oversees and manages senior level funding initiatives that pertain to the Divisions. Monitors departmental requirements and ensures that information such as schedules, cash flow, and funding are in place and all corporate stakeholders are fully informed of their status and obligations.
  • Prepares and presents reports to Committee and Council.
  • Performs other related duties as assigned.

Who we are looking for:

The type of person we are looking for has:

  • Accountability – Takes personal ownership and responsibility for the quality and timeliness of work commitments and departmental commitments to achieve results.  Follows City of Saskatoon guidelines, standards, regulations and principles.  Demonstrates reliability and integrity on a daily basis.
  • Service Orientation – Gives superior service to internal and external customers (citizens, City Councillors, stakeholders, management and colleagues), with a focus on meeting citizen’s needs.  Builds value in the work conducted and in results achieved.
  • Engagement – Mobilizing employees, citizens, and partners. Demonstrated ability to lead, motivate, empower and mobilize individuals and groups to work toward a shared purpose in the best interests of the organization and the City of Saskatoon.  Builds and maintains high level of credibility with staff, partners and/or citizens. 
  • Pragmatic Decision Maker – Recognizes priorities and changing approaches.  Shows common sense and intuitive judgment abilities to analyze and synthesize a wide array of subjective and objective information to recommend appropriate short term and long term direction and goals for their department or division.

What we are looking for:

Typically to be successful in this role, a person will have:

  • Degree in a related discipline plus the possession of a recognized professional accounting designation, i.e. CPA, CA, CMA, CGA.
  • Seven to nine years’ progressively responsible related experience in accounting, budgeting, financial analysis, business administration, rate and fee modelling and design, including five years experience supervising and coordinating staff. 
  • Thorough knowledge of the principles and practices of management and organizational planning.
  • Thorough knowledge of the budget process, as well as accounting principles and practices.
  • Knowledge of the principles of financial management information and internal control systems.
  • Ability to provide leadership and consultation through problem-solving, consensus, stakeholder involvement and dialogue.
  • Demonstrated ability and willingness to be accountable for personal performance and the performance of staff.
  • Ability to establish and maintain effective working relationships with civic staff and officials, representatives of other agencies, and the public.
  • Demonstrated ability to direct and support staff in achieving desired results.
  • Ability to express ideas and concepts by communicating effectively, both orally and in writing.

Weekly Hours: 40 

Senior Financial Business Partner - UE

City Of Saskatoon
Saskatoon
  Financial Services Full-time
  123,869.52  -  145,546.56
The City of Saskatoon is looking for our new permanent full-time Senior Financial Business Partner! The work you'll be involved in: The Senior Financial Business Partner is respons...
Learn More
Jan 30th, 2025 at 15:55

Senior Payroll Specialist Full-time Job

City Of Regina

Financial Services   Saskatoon
Job Details

Under the supervision of the Corporate Payroll Manager this position ensures the integrity of the data and payroll information in the City’s ERP system.  This position identifies and conducts system and business process enhancements to ensure processes and required controls are in place and in operation. This position also provides front line support with processing payroll transactions, with a focus on worker’s compensation pay (“WCB”) and other exception pay, producing a variety of related reports and records, and responds to enquiries from employees, management, and outside agencies.

Duties & Responsibilities

  • Co-ordinates and administers the processing of the corporate payroll. Develops, implements, and documents procedures required to control payroll processing.
  • Provides support to the payroll section in the form of training, problem solving and troubleshooting to support process improvement and cross training initiatives.
  • Administers, calculates, and reconciles WCB payments and time adjustments to align with WCB requirements and all applicable union collective agreements. As well as, administration, calculation of other exception pay transactions such as sick bank, maternity leave, claims, etc.
  • Develops and reviews payroll processes and controls to ensure entries to the ERP system are accurate. Provides technical information when required to ensure consistency of data, and coordinates with the City’s ERP Program to provide payroll system configuration requirements, resolve payroll system problems, and participates in software updates, ensuring all business testing is complete and accurate.
  • Assists with the review, development, implementation and revision of standards, controls, processes, procedures, and forms related to the payroll system. Involved with identifying and developing new system initiatives and efficiencies.
  • Researches and responds to a variety of enquiries pertaining to payroll from staff, supervisors and managers in other departments, employees, and outside agencies.
  • Ensures all legislative requirements regarding tax withholding, remittance and income reporting have been met. Prepares all CRA payments and monitors direct deposit amounts sent to the bank each payroll.
  • Calculates, reviews and balances payroll.
  • Ensures correct production, yearend balancing, reconciliation, and distribution of T4 and T4A forms.
  • Perform balance sheet reconciliations as required.
  • Performs the duties of all Payroll Specialist positions when required.
  • Performs other related duties as assigned. 

Qualifications

  • Successful completion of a recognized one-year post-secondary business administration related program, plus possession of the Payroll Leadership Professional (PLP) designation from the National Payroll Institute’s Certificate Program.
  • Five years' progressively responsible related payroll and general ledger experience in an automated environment.
  • Proficient in the use of Microsoft Office Suite programs; including Word, Excel, PowerPoint, Outlook and SharePoint.
  • Experience working with payroll in a large size ERP (SAP-S4) enabled organization.  Experience with SAP S4/HANA Payroll, SuccessFactors, and WorkForce would be considered an asset.
  • Possession of a valid Saskatchewan Class 5 Driver’s Licence.Thorough knowledge of hourly and salaried payroll terminology and financial accounting procedures.
  • Thorough knowledge of federal and provincial laws (including WCB legislation), City regulations and union agreements applicable to payroll.
  • Considerable knowledge of large-scale ERP systems.
  • Ability to interpret, and to make decisions in accordance with, established policies and procedures.
  • Ability to work within established deadlines.
  • Ability to work with minimal supervision in a team environment.
  • Ability to make mathematical calculations rapidly and accurately.
  • Ability to establish and maintain effective working relationships.
  • Ability to maintain attention to detail.
  • Skilled in the operation of modern office equipment

Weekly Hours: 36.67 

Senior Payroll Specialist

City Of Regina
Saskatoon
  Financial Services Full-time
  70,597.68  -  77,833.92
Under the supervision of the Corporate Payroll Manager this position ensures the integrity of the data and payroll information in the City’s ERP system.  This position identifies a...
Learn More
Jan 30th, 2025 at 15:46

Accounting Clerk III Full-time Job

City Of Regina

Financial Services   Regina
Job Details

As an Accounting Clerk III, you will be key to ensuring accurate and efficient financial operations within the branch. Your responsibilities include processing payments, reconciling accounts, providing budget support, and managing technology setups. You'll handle month-end and year-end reconciliations, track inventory, and maintain organized filing systems. Your multitasking skills and attention to detail will support the branch's financial and administrative functions effectively.

 

Date Posted: January 28, 2025

 

Closing Date: February 7, 2025

 

Key Duties & Responsibilities

 

  • Processes payments, refunds, invoices, initiates purchase requisitions, and enters data and transactions
  • Reconciliation of online payments
  • Conducts months end, year-end, and purchase order reconciliations
  • Processes and reconciles P-card transactions
  • Acts as IT liaison for branch for new staff arranging technology connections/devices
  • Tracks and administers parking ticket software access
  • Prepares standard correspondence for summons, refunds, NSF cheques, and related issues
  • Opens, sorts, and distributes mail as well as shipping and receiving
  • Answers calls and provides customer service as back-up when required
  • Tracks inventory, repair management, and tests enforcement equipment
  • Maintains filing systems in accordance with branch procedure and corporate records management policies and procedures
  • Manages off site storage for the branch
  • Orders supplies for the branch
  • Completes searches, inputs data, validates data, and generates reports and lists from programs and applications

Key Qualifications

 

  • Completion of secondary school or equivalency
  • Minimum of nine months of previous and on-the-job administrative, clerical, and/or cashier experience
  • Knowledge of payment processing, invoicing, and reconciliation practices
  • Knowledge of office administration and financial processes
  • Understanding of specific branch operations and broader divisions/departments
  • Familiarity with relevant collective agreements, bylaws, policies, procedures, and legislation, including health and safety standards
  • Proficiency in job-related office productivity software, internet browsers, search engines, enterprise software, discipline-specific software, and technology devices
  • Ability to interact with staff to exchange process and general information
  • Experience providing front-line customer service, handling potentially frustrated or rude responses
  • Skill in identifying issues, consulting policies/procedures, and following processes
  • Ability to prioritize and adapt office activities within defined timelines/deadlines
  • Capacity to provide ideas and suggestions for improving work processes

Additional Requirements:

 

  • Successful candidates may be required to provide a satisfactory criminal record check per the City of Regina's Criminal Record Check Policy.
  • Proof of education is required.
  • Additional assessments may be conducted to evaluate competencies, skills, and knowledge.

Accounting Clerk III

City Of Regina
Regina
  Financial Services Full-time
  23.56  -  30.44
As an Accounting Clerk III, you will be key to ensuring accurate and efficient financial operations within the branch. Your responsibilities include processing payments, reconcilin...
Learn More
Jan 28th, 2025 at 16:14

Financial Coordinator Full-time Job

BGIS

Financial Services   Markham
Job 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
  Financial Services Full-time
The Financial Coordinator is accountable for providing transactional support for a process within an accounting cycle. Specific accountabilities include validation and processing o...
Learn More
Jan 28th, 2025 at 14:46

Financial Shared Services Representative- Contract Full-time Job

BGIS

Financial Services   Markham
Job 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- Contract

BGIS
Markham
  Financial Services Full-time
The Financial Shared Representative is responsible for accurate and timely processing of accounts payable payments according to established internal procedures KEY DUTIES & RES...
Learn More
Jan 28th, 2025 at 14:41

Customer Financial Relationship Representative Full-time Job

Wolseley Canada

Financial Services   Laval
Job Details

Customer Financial Relations Representative

In this role, you are responsible for supporting collections and customer service departments for Wolseley Canada's accounts receivable.

 

What are the benefits for you:

  • Normal opening hours Monday to Friday
  • Full benefits with fully Company paid premiums for the basic kit from the first day of employment
  • Professional development and training opportunities
  • Life, Disability and Wellness Insurance Program
  • Retirement savings programs, including an RRSP and a defined contribution pension plan, with an employer contribution of up to 5.25%
  • Paid vacation and sick leave, and a day off on your birthday!
  • Bonus programs that include annual performance bonuses and a profit sharing plan
  • Employee discounts on top brands of plumbing and HVAC/R products
  • Tuition reimbursement for employees
  • Employee Referral Program
  • Reimbursement of safety shoes

 

What you will do:

  • Resolve delinquent accounts by collecting late payments
  • Encourage and promote our self-service website: Wolseley Express
  • Handle a high volume of inbound calls from customers with billing and payment questions
  • Perform, track and document collection activities
  • Process and resolve inquiries from customers, branch staff, by telephone or email.
  • Investigate and resolve disputes within the parameters of the policy
  • Resolve billing issues leading to late payments and promote electronic invoicing.
  • Resolve customer discrepancies such as discount chargebacks, term disputes, omitted invoices, unauthorized deductions, and misapplied payments.
  • Identify and escalate accounts that require third-party action or legal action.
  • Reconciliation of customer accounts, if applicable
  • Monitor and manage the “Pending Shipment/Notification Display” screen within the authorized limits.

 

What you will bring:

  • Minimum 3-5 years of credit/collection experience; proven track record of successful collections.
  • CCP designation or pursuit of CCP designation is an asset.
  • Experience working in a customer service role
  • Excellent verbal and written communication and negotiation skills
  • Ability to work independently
  • Microsoft Office experience preferred (Word, Excel and Outlook).
  • Attention to detail and precision
  • Ability to exercise judgment
  • Effective listening skills
  • Excellent organizational, time management and interpersonal skills
     

 

Each submitted resume is individually reviewed by our team and kept for 24 months in case a great new opportunity that matches your skills and abilities arises.

 

Please note that this position requires the result of a satisfactory criminal record check. A criminal record under the Criminal Code and/or another federal criminal record does not automatically mean that you will not be eligible for the position.

Customer Financial Relationship Representative

Wolseley Canada
Laval
  Financial Services Full-time
Customer Financial Relations Representative In this role, you are responsible for supporting collections and customer service departments for Wolseley Canada's accounts receivable....
Learn More
Jan 21st, 2025 at 13:39

Key Account Representative (Kingston, Peterborough, Ottawa Region) Full-time Job

Saputo Diary

Financial Services   Vaughan
Job Details

Saputo Dairy Products Canada is seeking a passionate Key Account Representative to partner with the Food Service team in Eastern Ontario (Kingston, Peterborough, Ottawa Region). Reporting to the Sales Manager, as a Key Account Representative, you will be an active participant in the Food Service team, supporting the Sysco Account, working with the day-to-day account activities within Ontario.  The successful candidate will be self-motivated, willing to take on challenges, and recognize assignments as learning opportunities.  In addition to analytical and administrative duties, you will have the opportunity to develop your career at Saputo.

 

We support and take care of our employees and their families by offering:

  • Vacation upon hire
  • Generous and complete benefit coverage with group insurance
  • Group retirement plan with employer contribution
  • Telemedicine and assistance program for employees and their families
  • Employee Share Ownership Plan with an employer match
  • Paid Parental Leave program
  • Paid time off: Sick days, floater days and volunteer day off
  • Opportunity to contribute to a collective RRSP & TFSA
  • Training and development programs
  • Saputo Flex Program, flexible work environment (schedule/location/time off) according to department needs

 

How you will make contributions that matter:

 

  • Work closely with our key food service partners to promote and grow Saputo Sales;
  • Ability to build customer relationships and deliver results;
  • Maintain a high level of “Market Place” knowledge and actively seek out new sales opportunities;
  • Ensure all correspondence and reports are completed on time and in a thorough manner;
  • Prepare and conduct sales presentations.
  • Act as a resource and facilitator to resolve customer issues and coordinate with regional contacts;
  • Travel Required (daily and overnight within Ontario, equivalent to 1 or 2 nights per month);
  • Generate weekly and monthly customized sales plans
  • Analyze sales data and trends, and identify opportunities to convert to sales successes
  • Other duties and projects as required

 

 

You are best suited for the role if you have the following qualifications:

 

  • A degree/diploma in Sales, Marketing or a related field
  • Two or more years of sales experience preferably in a Foodservice Sales environment.
  • Strong initiative and ability to work independently
  • Proficiency with MS Office, advanced Excel skills, and ability to learn new software quickly
  • Strong organizational and analytical skills with solid financial and accounting competencies
  • Strong communication and interpersonal skills
  • High level of self-motivation and initiative
  • Strong team orientation, dependable, and a proven ability to work well with others
  • Ability to work efficiently and effectively under pressure in a multi-tasking, high priority environment
  • Inquisitive mindset and desire to learn new skills
  • Car Required for this role

Key Account Representative (Kingston, Peterborough, Ottawa Region)

Saputo Diary
Vaughan
  Financial Services Full-time
Saputo Dairy Products Canada is seeking a passionate Key Account Representative to partner with the Food Service team in Eastern Ontario (Kingston, Peterborough, Ottawa Region). Re...
Learn More
Jan 21st, 2025 at 13:06

Senior Financial Analyst, Corporate Finance Full-time Job

Canadian Tire Corporation, Limited

Financial Services   Toronto
Job Details

What you'll do

  • Perform financial analysis, financial modeling, and performance measurement in order to assess the impact of large or enterprise-wide projects and strategic initiatives on key financial and value creation metrics

  • Undertake financial due diligence required to support potential acquisitions, partnerships and/or other strategic initiatives; coordinating input from subject matter experts across Accounting, Tax, Treasury, FP&A, and other Finance functions

  • Work closely with Corporate Development, Finance, and other stakeholders and perform the financial evaluation of growth opportunities; provide insights and recommendations on projects which impact the business

  • Develop and improve dynamic and complex financial models that enable efficient analysis of projects and that support regular and ad hoc decision making

  • Advise on CTC’s capital allocation strategy (including dividends, share repurchases, and capex) and evaluate alternative uses of capital including business investment, shareholder return, debt repayments, and acquisitions

  • Lead reporting and insight identification relating to CTC’s Total Shareholder Return (TSR) performance and valuation metrics relative to peers

  • Run the estimation of hurdle rates and impairment WACC relevant to the business

  • Support the financial aspiration and outlook process, including leading development of alternative scenarios to stress test outlook assumptions

  • Lead various macro and peer analysis, enabling a stronger support for outlook projections and better understanding of the company’s performance drivers

  • Build and design content for PowerPoint presentations that clearly articulate the subject and tell the story.

  • Provide support as needed to the Enterprise Investment Planning team on periodic reporting and forecasts

  • Provide support for ad-hoc requests and special projects, presentation development and executive communications to the Executive Team, CFO and Board of Directors

 

What you bring

  • University degree in Finance, Accounting, or a business-related discipline

  • Financial designation (CA, CFA, CMA) or MBA is considered an asset

  • Minimum of 4-5 years’ progressive experience in a finance or analytical role with an emphasis on corporate finance, financial modeling, and analysis; with strong working knowledge of the financial statements (P&L, Balance Sheet, Cash Flow statements)

  • Strong financial acumen, including modelling, business case development, and financial valuation

  • The ability to work through ambiguous business problems with minimal direction in a fast-paced and changing environment under tight deadlines

  • Superior analytical and problem-solving abilities, and attention to details  

  • Strong executive communication/presentation skills

  • Expert knowledge of Microsoft Office tools, especially PowerPoint (and Data Visualization) and Excel

  • Working knowledge of software such as Bloomberg, FactSet and/or Capital IQ, Hyperion is considered an asset

 

We value flexibility. We have adopted a hybrid work model whereby employees use a combination of working in office and virtually in service of outcomes. Each leader is empowered to decide what work is best achieved in person based on the unique needs of their team.

Senior Financial Analyst, Corporate Finance

Canadian Tire Corporation, Limited
Toronto
  Financial Services Full-time
What you'll do Perform financial analysis, financial modeling, and performance measurement in order to assess the impact of large or enterprise-wide projects and strategic initiati...
Learn More
Jan 17th, 2025 at 14:33

Looking for a job?

Upload your Resume and easily apply to jobs from any device!
Add Your Resume