
Accountant
- Ontario
- Permanent
- Full-time
- Focus on AR/AP/cash reconciliation under Finance Manager’s supervision
- Maintain and facilitate DTC level cash management and reconciliation through reports and diligence.
- Drive efficacy thru partnership with banks, vendors, departments, and business partners
- Apply receipts, issue customer invoices and statements, make collection calls for outstanding receivables.
- Respond to queries from our internal and external stakeholders in a timely and professional manner.
- Manage deposit adjustments, till cash reconciliation, and prepare cash remittance
- Maintain the reporting and analysis related to cash management under Finance Manager’s supervision
- Develop reconciliations and reporting to confirm the completeness and accuracy of cash transactions and custodian to resolve any discrepancies and issues.
- Complete month-end and quarter-end reporting requirements related to treasury functions
- Ensure all prior day cash transactions are posted to the correct GL account through Treasury workstation.
- Assist with other balance sheet account reconciliations
- Participate in internal projects and assignments as necessary
- Business diploma in Accounting or related field.
- 2 years of working experience post to graduation
- Strong knowledge of Excel and cash reconciliation
- A good understanding of full cycle accounting and finance
- Strong analytics, judgement, and good general business knowledge.
- Possession of strong organizational skills and understanding of finance department’s controls and procedures.
- Self-starters, capable of working independently with accountability.
- Effective communication skills and ability to work cross functionally within the organization.
- Strong degree of integrity and attention to detail
- Proven ability to meet deadlines and changing priorities.