Responsibilities :
- Full responsibility for the preparation of monthly working paper files at a level approaching audit quality, financial statements, and development of the monthly reporting package.
Working papers to include :
All balance sheet accountsSelect revenue and expense accounts.Unit analysis with commentaryAnalytical reviewMonthly responsibilities include :
Bank reconciliationsAccounts receivable reconciliationAccounts payable reconciliationProduct inventory reconciliation and detailed operating statement for non-trucking operationsReview of sales invoicesFinal approval of purchase invoices for paymentDetailed review of hourly payrollPreparation of salary payrollPreparation of bank reportsDirect oversight of the general ledgerOther responsibilities include :
Oversight of accounts payable and receivable staffWorking with payroll administrator to ensure accuracy and completion of bi-weekly payrollPreparation of GST, PST, WCB, EHT returns, and other regulatory filingsDevelopment of additional internal controls and changes to accounting processes as requiredQualifications :
CPA DesignationPublic practice experience and ready to move into the industry.Will consider others who are looking for their first step into management who have good full-cycle experience and supervised a small team.Great Plains Dynamics is a plus. Must be comfortable with computerized accounting systemsExcel skillsAble to read and understand legal and banking documentsHigh attention to detailMaintain confidentiality while managing highly sensitive material with the utmost professionalism.Excellent interpersonal skills and communicationSolid time-management skills