4 results for Full Charge Bookkeeper in Guelph, ON
Bookkeeper
- North York, ON
- onsite
- Permanent
-
60000 - 70000 CAD / Yearly
- We are looking for a detail-oriented Bookkeeper to support day-to-day financial operations for our team in North York, Ontario. This position is well suited to someone who is comfortable managing transactional accounting, maintaining accurate records, and ensuring financial information is up to date. The successful candidate will contribute to smooth month-end activities while helping keep payables, receivables, and reconciliations organized and accurate.<br><br>Responsibilities:<br>• Maintain accurate financial records by recording daily transactions and verifying supporting documentation.<br>• Process supplier invoices, prepare payments, and track outstanding obligations to keep accounts payable current.<br>• Issue invoices, monitor incoming payments, and follow up on overdue balances to support accounts receivable activities.<br>• Complete regular bank and account reconciliations to identify discrepancies and ensure ledger accuracy.<br>• Assist with month-end close tasks, including reviewing entries and preparing financial information for reporting purposes.<br>• Support payroll administration by organizing payroll data and helping ensure timely and accurate processing.<br>• Use QuickBooks and Microsoft Excel to update records, generate reports, and analyze financial details.<br>• Enter and maintain accounting data with a high level of accuracy and attention to detail.
- 2026-07-07T00:00:00Z
Bookkeeper
- North York, ON
- onsite
- Permanent
-
50000 - 70000 CAD / Yearly
- We are looking for a detail-oriented Bookkeeper to support day-to-day financial operations in Etobicoke, Ontario. This position is ideal for someone who is comfortable managing transactional accounting, maintaining accurate records, and ensuring balances are up to date. The successful candidate will contribute to timely reporting, organized documentation, and smooth processing across payables, receivables, payroll, and reconciliations.<br><br>Responsibilities:<br>• Maintain accurate financial records by recording daily transactions and verifying supporting documentation.<br>• Process supplier invoices, prepare payments, and monitor outstanding obligations to keep accounts payable current.<br>• Issue invoices, track incoming payments, and follow up on overdue balances to support healthy accounts receivable.<br>• Complete bank and account reconciliations regularly to identify discrepancies and resolve variances promptly.<br>• Assist with month-end activities by organizing records, reviewing ledger balances, and preparing required summaries.<br>• Enter accounting data into QuickBooks and spreadsheets with a high level of accuracy and attention to detail.<br>• Support payroll administration by preparing payroll information and ensuring records are updated correctly.<br>• Help maintain reliable financial information by reviewing entries and correcting errors when needed.
- 2026-07-20T00:00:00Z
Accounting Clerk
- Kitchener, ON
- onsite
- Contract / Temporary
-
25 - 27 CAD / Hourly
- <p>We are looking for an Accounting Clerk to support day-to-day finance operations for a real estate property and facilities management organization in Kitchener, Ontario. This contract opportunity is well suited to someone who brings strong experience across payables, receivables, and financial recordkeeping, along with a careful and methodical approach to accuracy. The successful candidate will contribute to invoicing, reconciliations, reporting, and payroll-related reviews while helping maintain dependable financial processes across the business.</p><p><br></p><p>Responsibilities:</p><p>• Review and enter supplier invoices with the correct approvals, account coding, and backup documentation to ensure accurate and timely processing.</p><p>• Prepare outgoing payments through approved methods, including electronic transfers and cheques, while following internal controls and established payment schedules.</p><p>• Match vendor statements to internal records, resolve discrepancies, and respond to supplier questions in a thorough and timely manner.</p><p>• Handle foreign-currency invoices using the applicable central bank exchange rate, document exchange calculations, and record any resulting foreign exchange variances.</p><p>• Generate customer invoices, post incoming payments, and keep client account balances current and accurate.</p><p>• Track overdue receivables, prepare aging summaries, follow up on outstanding balances, and reconcile accounts where payment issues arise.</p><p>• Support month-end activities by maintaining complete AP and AR records, reconciling subledgers, and assisting with audit preparation and reporting.</p><p>• Review vacation banks for unionized employees, identify variances in time or dollar balances, and escalate issues to the appropriate finance and people leaders.</p><p>• Assist with payroll-related audits and special calculations, including pension contribution adjustments and other ad hoc finance assignments as required.</p>
- 2026-07-22T00:00:00Z
Accounting Clerk
- Kitchener, ON
- onsite
- Permanent
-
57000 - 62000 CAD / Yearly
- <p>Our client is seeking a detail-oriented Accounting Clerk to join their finance team. This role will support day-to-day accounting operations with a primary focus on Accounts Payable, Accounts Receivable, cash applications, vendor payments, and month-end activities. The successful candidate will enjoy working in a high-volume environment, demonstrate strong attention to detail, and possess a collaborative approach to supporting the accounting function.</p><p><br></p><p><strong>Key Responsibilities</strong></p><p><br></p><p>Accounts Payable</p><p>· Process approximately 40-50 supplier invoices per week, ensuring accuracy and timely entry.</p><p>· Review and reconcile vendor statements.</p><p>· Investigate and resolve invoice discrepancies in collaboration with vendors and internal departments.</p><p>Accounts Receivable</p><p>· Generate and process approximately 20-30 customer invoices per week.</p><p>· Monitor outstanding balances and assist with collections activities as required.</p><p>· Investigate and resolve customer billing inquiries.</p><p>Cash Management</p><p>· Apply incoming customer payments and reconcile cash receipts.</p><p>· Assist in maintaining daily cash records and reconciliations.</p><p>Vendor Payments</p><p>· Prepare and process scheduled vendor payment runs.</p><p>· Verify supporting documentation and approvals.</p><p>· Communicate with vendors regarding payment inquiries and account reconciliations.</p><p>Month-End Support</p><p>· Assist with month-end close activities, including account reconciliations and journal entries.</p><p>Intercompany Accounting</p><p>· Process and reconcile intercompany transactions.</p><p>· Assist with balancing intercompany accounts and resolving discrepancies.</p><p><br></p>
- 2026-07-16T00:00:00Z