<p>Our client in <strong>Calgary </strong>is seeking a detail-oriented<strong> Accounts Payable Clerk</strong> for a contract role. You’ll support invoice processing, expense management, and project-related AP tasks to help streamline workflows and reduce backlog.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Process vendor invoices in compliance with company policies</li><li>Submit and track approvals, ensuring accurate coding and classifications</li><li>Coordinate with project managers on media invoice tracking</li><li>Assign vendor bills to correct client portfolios</li><li>Post invoices using NetSuite and maintain records</li><li>Support workflow improvements and automation efforts</li><li>Maintain organized documentation and meet deadlines</li></ul><p><br></p>
<p>Robert Half is partnering with a client in search of an experienced Bookkeeper to join their team. If you have a passion for numbers, meticulous attention to detail, and thrive in a hands-on accounting role, this could be the opportunity for you!</p><p><br></p><p>Responsibilities:</p><p><br></p><ul><li>Manage all aspects of full-cycle bookkeeping: accounts payable, accounts receivable, bank reconciliations, and journal entries</li><li>Process payroll and maintain accurate payroll records</li><li>Prepare monthly financial reports and assist with general ledger maintenance</li><li>Ensure timely and accurate reconciliation of accounts</li><li>Prepare and file sales tax reports and ensure compliance with government regulations</li><li>Collaborate with management to provide reporting and analysis of financial data</li><li>Support the preparation for year-end audits or reviews as requested</li><li>Maintain organized and accurate financial records and documentation</li></ul>
<p>Our client in Calgary is looking for a contract<strong> Accounts Payable Clerk</strong> with strong NetSuite and Excel (Pivot Tables, VLOOKUP) skills. This is a full-cycle A/P role in a fast-paced, high-performance environment with ongoing process improvements underway.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Full-cycle Accounts Payable processing: matching, batching, coding</li><li>Create and post journal entries to the general ledger</li><li>Reconcile payments and resolve discrepancies</li><li>Process and manage expense reports — high volume, frequent travel-related expenses</li><li>3-way matching for PO-based invoices</li><li>Vendor communication (email & some phone)</li><li>Assist with month-end close activities related to A/P</li><li>Contribute to process improvement initiatives</li><li>Ad-hoc duties as request</li></ul>
<p>Our client in <strong>Calgary </strong>is seeking a <strong>Payroll Specialist</strong> for a long-term contract role. You’ll be responsible for accurate and compliant payroll processing across multiple clients, while providing excellent client support and ensuring alignment with federal and provincial regulations.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Process multi-client payrolls accurately and on time</li><li>Manage deductions, ROEs, T4s, and year-end reconciliations</li><li>Maintain payroll records and ensure data confidentiality</li><li>Stay up to date with payroll legislation and compliance</li><li>Guide clients on payroll setup, adjustments, and filings</li><li>Support onboarding of new clients and collaborate across teams</li><li>Improve internal processes and maintain documentation</li><li>Track and manage payroll schedules and reporting deadlines</li></ul><p><br></p>
<p>Are you a detail-oriented professional with a knack for numbers and an eye for accuracy? Robert Half is seeking a Reconciliations Clerk to join one of our client companies. This is an excellent opportunity for professionals with experience in reconciliation, accounting, and data management who thrive in collaborative environments.</p><p><br></p><p>Key Responsibilities:</p><p><br></p><ul><li>Reconciliation: Compare bank transactions against merchant records to ensure accuracy, and resolve any discrepancies.</li><li>Merchant Reporting: Prepare and deliver merchant reports </li><li>Accurately calculate merchant fees based on transaction data and merchant contracts</li><li>Ensure adherence to financial controls, company policies, and best practices</li><li>Maintain effective systems and relationships to facilitate accurate and timely data flow across departments</li><li>Prepare and process bank-related files as required</li><li>Provide assistance with other finance and administrative tasks, as needed</li><li>Participate in cross-training initiatives to enhance skills and contribute to the efficiency of the finance team</li><li>Respond to merchant inquiries, resolve disputes, and provide accurate and timely information</li></ul>