Ref ID: 05070-0012386859
Classification: Accounting Clerk
Compensation: $70000.00 to $80000.00 yearly
Remote Staff Accountant
The Company
Our client is a growing publicly traded company with its global headquarters in the Halton Region. The team is expanding, and they are adding another Staff Accountant to the team.
The Role
The Staff Accountant reports to the department manager as well as the senior account and is responsible for financial reporting and supporting the month end and quarter end processes.
What do you bring to the role?
You have 2+ years of full cycle accounting experience in a high volume corporate environment. You have gained strong experience with cash interest payments and enjoy collaboration with departments across the organization. You are a self-starter who is motivated by growth and effecting positive change. You can challenge the status quo and improve anything in the processes with journal entries, account reconciliations, taking on more responsibilities and be recognized for it. You are eager to succeed and above and beyond what has been carved out for you.
You are not afraid to dig into anything that doesn't tie out or balance.
You are able to work a hybrid remotely and on site, positively impacting the department and company as a whole. You possess strong data management skills and are comfortable manipulating large amounts of data as the company produces high volumes of cash. The ideal candidate has a degree or diploma in accounting/finance, however, energetic go-getters with strong accounting knowledge will also be considered.
What’s in it for You?
- Generous salary
- Full health, dental and vision benefits
- RRSP plan match
- Tuition reimbursement program
- CPA dues
- Professional development and room to growth
Job Requirements:Duties & Responsibilities:
- Complete all scheduled month-end tasks as assigned.
- Prepare month-end and ad hoc journal entries with appropriate supporting documentation.
- Bank Reconciliations in a high volume environment
- Prepare and assist in quarterly closes
- Cash interest payments
- Balance entries
- Prepare reports for leadership teams
- Interact with the treasury department
- Assist with preparing and supporting year-end audit and any other audit/tax return requirements.
- Prepare ad-hoc finance/accounting related projects and financial analysis for decision making as required by Management.
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