Prepare and validate various balance sheet reconciliations Submit monthly HST remittances. Post various journal entries Business unit support; primary support with the manager as backup (requires problem-solving and collaboration; good opportunity for development). Various ad-hoc analyses as needed. Preparation of month-end, quarter-end and year-end financial statements Long term debt management Manage fixed assets schedule Inventory management Construction sub-contractor payments and holdback release Repair shop distribution and cost allocation
1-3 years of experience in a similar position. An Accounting Degree or enrolment in CPA program is required. Intermediate working knowledge of Excel as a starting point. Familiar with IFRS, GAAP and ASPE. Experience in a construction or manufacturing environment would be an asset. Personable, with strong communication skills; both verbal and written. Process improvement and problem-solving experience. Excellent attention to detail. Ability to be organized, meet deadlines and prioritize responsibilities.