3 results for Financial Data Analyst in Squamish, BC
Business Analyst
- Vancouver, BC
- onsite
- Temporary
-
30 - 35 CAD / Hourly
- <p>3-Month Contract | Hybrid – 2 Days Onsite | Vancouver or Toronto</p><p><br></p><p>Our client is seeking a Business Analyst / Project Manager to support the next phases of a data and compliance-focused initiative. This role will work closely with business, compliance, technology, and external partners to gather requirements, coordinate delivery, and support the expansion of a centralized data platform.</p><p><br></p><p>Responsibilities</p><ul><li>Gather and document business, data, operational, and regulatory requirements.</li><li>Work with compliance stakeholders to ensure AML and regulatory requirements are incorporated into project deliverables.</li><li>Facilitate stakeholder meetings, workshops, and requirements sessions.</li><li>Coordinate activities across business, technology, compliance, and vendor teams.</li><li>Support data onboarding, standardization, file exchange, validation, testing, and implementation.</li><li>Track milestones, risks, issues, dependencies, and action items.</li><li>Prepare project documentation, status updates, and process flows.</li></ul><p><br></p><p><br></p>
- 2026-08-26T00:00:00Z
Finance Consultant
- Vancouver, BC
- onsite
- Temporary
-
57 - 66 CAD / Hourly
- <p>We are looking for a Finance Consultant to join a finance team South of Vancouver, British Columbia on a mid-term, contract basis. This opportunity is well suited to a senior accounting specialist who can step into a hands-on controller-level role and provide reliable hands-on support through year-end activities, audit readiness, and complex financial reporting. The successful candidate will bring strong technical accounting knowledge, sound judgment, and the ability to work effectively across a multi-entity, multi-currency environment while meeting critical reporting deadlines.</p><p><br></p><p>Responsibilities:</p><p>• Lead key accounting activities tied to the year-end close, ensuring records are complete, accurate, and ready for review.</p><p>• Prepare financial statements and related reporting for multiple legal entities, with careful attention to consistency and compliance.</p><p>• Reconcile balance sheet and subledger accounts, including cash, intercompany balances, payables, receivables, and inventory.</p><p>• Support consolidated reporting by coordinating entity results, posting elimination entries, and resolving intercompany differences.</p><p>• Assemble audit support materials such as schedules, working papers, and account analyses for external review.</p><p>• Identify variances or irregularities during the close process and investigate issues to a timely resolution.</p><p>• Maintain the integrity of AP, AR, and inventory records by reviewing transactions and reconciling supporting details to the general ledger.</p><p>• Contribute to accounting and reporting requirements involving foreign currency transactions and multi-currency balances.</p><p>• Provide assistance with bank reporting, year-end technical accounting matters, and tax-related support as needed.</p><p>• Partner with finance leadership to deliver accurate reporting within tight timelines and respond to changing priorities during peak periods.</p>
- 2026-09-01T00:00:00Z
Accounting Operations Specialist
- Vancouver, BC
- onsite
- Permanent
-
25 - 30 CAD / Hourly
- <p><strong>Accounting Operations Specialist (Part-Time)</strong></p><p><br></p><p>An innovative, values-driven private company based in Vancouver, BC, with a strong commitment to advancing climate change solutions, is seeking a Part-Time Accounting Operations Specialist. The organization manages a diverse portfolio of investments and operations, including commercial real estate and clean technology ventures. This opportunity is ideal for someone who is adaptable, eager to learn, and motivated to take on a variety of responsibilities in a dynamic environment.</p><p><br></p><p>Reporting to: Director of Finance</p><p><br></p><p><strong>Responsibilities</strong></p><ul><li>Maintain accurate accounts payable, accounts receivable, and general ledger records.</li><li>Process wire transfers and ACH transactions.</li><li>Prepare and post journal entries.</li><li>Perform bank and general ledger reconciliations.</li><li>Prepare GST and PST filings.</li><li>Assist with operating cost reconciliations.</li><li>Support the preparation of financial reports, annual financial statements, and tax returns.</li><li>Conduct financial analysis and assist with ad hoc reporting.</li><li>Identify opportunities for process improvements and support the implementation of efficiencies.</li><li>Provide assistance with various accounting, finance, and administrative tasks as required by management and the broader finance team.</li></ul><p><br></p><p><br></p>
- 2026-08-26T00:00:00Z