We are looking for an experienced Accountant to join our team in Mississauga, Ontario, on a contract basis. In this role, you will play a crucial part in maintaining accurate financial records, ensuring compliance with accounting standards, and supporting various financial operations. This opportunity is ideal for someone who is attentive to detail and thrives in a dynamic environment within the healthcare industry.<br><br>Responsibilities:<br>• Verify accounts payable invoices by checking vendor details, amounts, and approvals in line with purchasing policies.<br>• Update organizational databases using tax information forms received through secure communication channels.<br>• Confirm vendor banking details by conducting verification calls and reviewing submitted forms.<br>• Maintain and update data files related to T4A forms, assisting with reconciliation on a regular basis.<br>• Extract departmental financial statements and general ledger reports for distribution and verification.<br>• Prepare bank reconciliations for multiple accounts, including recording entries and verifying outstanding items.<br>• Post journal entries accurately into Dynamics GP accounting software.<br>• Generate and review general ledger reports from Dynamics GP to ensure accuracy.<br>• Complete balance sheet reconciliations and assist with audit preparations, including creating audit working papers.<br>• Collaborate with various departments to address finance-related requests and provide support as needed.
We are looking for a dedicated Property Accountant to oversee the complete accounting cycle for a portfolio of real estate properties. The successful candidate will play a crucial role in ensuring accurate financial reporting, supporting operations through detailed analysis, and maintaining compliance with accounting standards. This position is based in Waterloo, Ontario, and offers an excellent opportunity to work in a dynamic environment.<br><br>Responsibilities:<br>• Prepare monthly journal entries and perform reconciliations for bank accounts, general ledgers, and sub-ledgers, including cash, accounts receivable, intercompany balances, prepaid expenses, fixed assets, and accrued liabilities.<br>• Manage the full accounting cycle for a portfolio of real estate properties, ensuring accurate and timely reporting.<br>• Process vendor invoices, expense reimbursements, and credit card reconciliations with a focus on precision and compliance.<br>• Handle accounts receivable and accounts payable, including tenant statement reconciliations, charge-back invoices, and banking deposits.<br>• Review and allocate expenditures to appropriate properties and expense accounts, ensuring proper categorization.<br>• Generate monthly accounts receivable reports and other specialized reports, such as tax receipts and move-in/move-out summaries, as required.<br>• Conduct daily, weekly, and monthly reconciliations for banking accounts and tenant refund accounts.<br>• Collaborate closely with property administrators and managers to address financial inquiries and operational needs.<br>• Identify opportunities to streamline accounting processes and improve the flow of information within the organization.<br>• Work in partnership with other Property Accountants and Managers to ensure cohesive operations and financial accuracy.
<p>We are looking for an Intermediate Accountant to join our team in Mississauga, Ontario. In this role, you will play a key part in managing financial transactions, ensuring accurate reporting, and supporting project budgets. Your work will contribute to maintaining cost control and overall financial stability across various projects.</p><p><br></p><p>Responsibilities:</p><p>• Match vendor invoices with purchase orders and receiving documents, ensuring accuracy and completeness.</p><p>• Accurately code invoices to appropriate jobs, cost codes, and general ledger accounts.</p><p>• Set up new vendors and subcontractors with necessary payment terms and compliance documentation.</p><p>• Process payments, including cheque runs and wire transfers, while maintaining detailed records.</p><p>• Prepare and issue monthly progress billings based on project completion percentages and contract terms.</p><p>• Monitor accounts receivable aging and follow up on overdue payments to ensure timely collection.</p><p>• Administer weekly payroll for hourly and salaried employees, verifying timecards and applying correct allocations.</p><p>• Reconcile payroll accounts and prepare year-end documentation such as T4s and ROEs.</p><p>• Support monthly and year-end closing activities, ensuring accuracy and compliance.</p>