<p>Nous recherchons un commis comptable motivé et organisé pour notre client à Vaudreuil-Dorion, Québec. Ce rôle clé comprend des responsabilités variées dans la gestion des comptes fournisseurs et clients, tout en assurant la précision des données financières. Si vous aimez travailler avec des chiffres et avez un souci du détail, ce poste est fait pour vous.</p><p><br></p><p>Responsabilités:</p><p>• Vérifier et associer les factures aux bons de commande, en contrôlant les prix unitaires, les poids et les preuves de livraison avant leur saisie dans le système.</p><p>• Préparer et téléverser des rapports bancaires pour les chèques et les paiements électroniques.</p><p>• Effectuer les rapprochements bancaires et gérer les demandes de crédit.</p><p>• Classer les documents justificatifs après l'émission des paiements.</p><p>• Préparer les écritures des charges à payer à la fin de chaque mois.</p><p>• Réaliser les activités de recouvrement et déposer des réclamations lorsque nécessaire.</p><p>• Enregistrer les paiements des clients dans le système et assurer leur suivi.</p><p>• Traiter les dépôts hebdomadaires et mettre à jour les feuilles de suivi des crédits.</p><p>• Vérifier les factures de vente, les comparer aux bons de commande et mettre à jour les feuilles de calcul.</p>
<p>Notre client est à la recherche d'un commis aux comptes recevables pour rejoindre son équipe dynamique à Boisbriand, Québec. Ce rôle est essentiel pour assurer une gestion efficace des comptes clients, tout en maintenant des relations solides avec nos partenaires et clients. Si vous avez une expérience dans la distribution au détail et une passion pour les chiffres, nous aimerions vous rencontrer!</p><p><br></p><p>Responsibilities:</p><p>• Préparer, traiter et gérer les comptes clients en assurant l'exactitude des données.</p><p>• Effectuer des suivis réguliers sur les comptes en souffrance et collaborer activement à la collecte des paiements en retard.</p><p>• Réviser les ententes avec les fournisseurs et les clients, notamment les forfaits de rabais, afin de garantir leur conformité avec les factures.</p><p>• Participer à des tâches administratives générales et à des responsabilités comptables connexes.</p><p>• Utiliser vos compétences en Retail Link, ainsi que dans d'autres outils comme Prextra, pour optimiser les processus, si applicable.</p><p>• Assurer une communication claire et professionnelle avec les clients pour résoudre les problèmes liés aux paiements ou aux factures.</p><p>• Collaborer avec les autres départements pour garantir une gestion harmonieuse des comptes.</p><p>• Analyser les données financières pour identifier et résoudre les écarts.</p><p>• Maintenir une documentation précise et organisée des transactions et des activités de recouvrement.</p>
<p>Notre client recherche un Contrôleur financier motivé et expérimenté pour diriger les opérations financières de son entreprise située à Murray Harbour, Île-du-Prince-Édouard. Ce rôle essentiel implique la gestion complète des processus comptables, la préparation des budgets et prévisions, ainsi que la mise en place de contrôles internes solides. Le candidat retenu contribuera activement à la stratégie financière tout en assurant la conformité réglementaire et fiscale.</p><p><br></p><p>Responsabilités:</p><p>• Superviser toutes les opérations comptables, y compris la facturation, les comptes clients et fournisseurs, la comptabilité des coûts et la reconnaissance des revenus.</p><p>• Élaborer le budget annuel en collaboration avec les différents départements et analyser les écarts financiers.</p><p>• Produire des états financiers mensuels précis et respecter les délais de publication.</p><p>• Assurer le contrôle et la gestion des inventaires, y compris l'analyse des coûts quotidiens et le suivi des cycles de comptage.</p><p>• Coordonner la préparation des rapports réglementaires et garantir le respect des normes fiscales locales et provinciales.</p><p>• Réaliser des recherches sur les problématiques comptables techniques afin d’assurer la conformité.</p><p>• Soutenir les processus de clôture mensuelle et annuelle, tout en maintenant des standards élevés de qualité dans les transactions financières.</p><p>• Développer des politiques comptables et des processus internes pour renforcer les contrôles et améliorer l’efficacité.</p><p>• Fournir des formations aux collègues pour assurer une couverture cohérente des responsabilités.</p><p>• Exécuter des tâches supplémentaires liées au poste de contrôleur, selon les besoins de l’entreprise.</p>
<p>Nous recherchons un commis aux comptes fournisseurs pour rejoindre l'équipe dynamique de notre client à West Island , Québec. Ce poste est entièrement sur place et offre une excellente occasion de contribuer à un environnement de travail stimulant dans le secteur de la construction. Le rôle exige une attention particulière aux détails et une capacité à gérer des tâches comptables variées de manière efficace.</p><p><br></p><p>Responsabilités:</p><p>• Traiter et gérer les comptes fournisseurs, y compris la correspondance des factures avec les bons de commande et le paiement des factures.</p><p>• Effectuer des rapprochements bancaires pour garantir l'exactitude des données financières.</p><p>• Préparer des rapports financiers spécifiques à l'organisation et soutenir les besoins de reporting.</p><p>• Collaborer avec l'assistant du contrôleur pour accomplir diverses tâches comptables.</p><p>• Assumer des responsabilités supplémentaires en fonction de l'efficacité et du volume de travail.</p><p>• Maintenir des registres financiers précis et organiser les documents nécessaires pour les audits éventuels.</p><p>• Identifier et résoudre les écarts ou problèmes liés aux comptes fournisseurs.</p><p>• Fournir un soutien administratif général en lien avec les activités comptables.</p><p>• Contribuer à l'amélioration des processus comptables pour optimiser l'efficacité.</p>
<p>Notre client est à la recherche d'un commis comptable pour se joindre à son équipe à Montréal, Québec. Ce poste à long terme, à temps partiel, offre une opportunité idéale pour les professionnels ayant une solide expertise en comptabilité et une maîtrise des outils tels que Sage 300 et Excel. Si vous êtes organisé, minutieux et à l'aise avec la validation des factures et la gestion des bons de commande, ce rôle est fait pour vous.</p><p><br></p><p>Responsibilities:</p><p>• Traiter et gérer les bons de commande de manière précise et en temps opportun.</p><p>• Vérifier et valider les factures pour assurer leur conformité avec les bons de commande.</p><p>• Utiliser Sage 300 pour effectuer des mises à jour et des tâches comptables diverses.</p><p>• Travailler avec Excel, notamment en utilisant des macros VBA pour automatiser certaines tâches.</p><p>• Maintenir des dossiers à jour et organiser les données pour une consultation facile.</p><p>• Collaborer avec les membres de l'équipe pour résoudre les écarts ou les problèmes liés aux factures.</p><p>• Assurer un suivi régulier des paiements et des transactions financières.</p><p>• Participer à des tâches administratives liées à la comptabilité, selon les besoins.</p>
<p>On recherche un commis aux comptes fournisseurs pour rejoindre l'équipe dynamique de notre client à Laval. Ce rôle offre une excellente opportunité de contribuer à la gestion financière d'une entreprise dans le secteur minier. Le candidat idéal sera méticuleux, autonome et doté d'une solide expérience en comptabilité.</p><p><br></p><p>Responsabilités:</p><p>• Traiter les factures des fournisseurs et des clients avec précision et efficacité.</p><p>• Vérifier, coder et enregistrer les documents financiers conformément aux normes établies.</p><p>• Saisir les données comptables dans le système de gestion 300.</p><p>• Assurer le classement et l'archivage adéquats des dossiers comptables.</p><p>• Gérer les paiements aux fournisseurs et maintenir des relations professionnelles avec eux.</p><p>• Répondre aux demandes internes et externes liées aux comptes fournisseurs.</p><p>• Effectuer les rapprochements bancaires mensuels et garantir leur exactitude.</p><p>• Préparer et enregistrer les écritures de journal liées aux provisions.</p><p>• Réconcilier les comptes des fournisseurs et résoudre les écarts éventuels.</p><p>• Agir en tant que soutien pour la fonction des comptes clients et participer aux processus de clôture mensuelle.</p>
We are looking for a detail-oriented Billing Clerk to join our team on a contract basis in Burlington, Ontario. In this role, you will play a key part in managing billing operations, ensuring accuracy in invoicing, and maintaining organized financial records. This is an excellent opportunity to contribute to a dynamic manufacturing environment while building on your expertise in billing and payment processing.<br><br>Responsibilities:<br>• Generate and process invoices in an accurate and timely manner using computerized billing systems.<br>• Verify the accuracy of billing data, ensuring all adjustments and discrepancies are addressed.<br>• Manage the administration of claims, including submission, tracking, and follow-up.<br>• Coordinate payment processing activities, ensuring proper allocation and reconciliation.<br>• Maintain precise and organized financial records for easy access and review.<br>• Assist in resolving billing inquiries and discrepancies with internal and external stakeholders.<br>• Enter and update data into financial systems, ensuring consistency and compliance with company policies.<br>• Utilize Microsoft Excel to perform calculations, prepare reports, and analyze billing trends.
<p>Our Calgary-based client is looking for a contract <strong>Accounts Payable Specialist</strong> to join their team. This role is ideal for someone with strong QuickBooks Online experience and a background in accounts payable, billing, and administrative support.</p><p><br></p><p><strong>Key Responsibilities</strong></p><ul><li>Process vendor invoices and payments in QuickBooks Online</li><li>Code invoices to correct jobs, departments, and expense categories</li><li>Match POs, receipts, and invoices</li><li>Reconcile vendor statements and resolve discrepancies</li><li>Prepare customer invoices based on job details, time, and materials</li><li>Track outstanding invoices and assist with collections</li><li>Maintain organized digital and physical records</li><li>Provide basic phone and communication support</li><li>Ad-hoc duties as requested</li></ul>
<p>Our Calgary-based client is looking for a detail-oriented <strong>Accounts Receivable Clerk</strong> for a contract position. The role is primarily focused on Accounts Receivable, with some support in Accounts Payable.</p><p><br></p><p><strong>Key Responsibilities</strong></p><ul><li>Open, review, and validate invoices already created in NetSuite</li><li>Cross-check invoices against customer agreements stored in Salesforce</li><li>Apply incoming payments—primarily digital U.S. cheques, with some Canadian</li><li>Assist with processing credit card bills and help clear backlog</li><li>Use Stamply for digital invoice stamping and tracking</li><li>Ad-hoc duties as requested</li></ul>
<p>We are looking for a dedicated Billing and Collections Specialist to join our team in Waterloo, Ontario. In this role, you will oversee key aspects of accounts receivable, ensuring accurate billing, efficient collections, and seamless data management. This position offers an opportunity to contribute to process improvements while collaborating with cross-functional teams to maintain high standards of financial operations.</p><p><br></p><p><strong>Key Responsibilities</strong></p><ul><li>Review and validate customer contract details and ensure accurate contract data migration into company database, covering both new agreements and renewals.</li><li>Manage contract updates in database, including billing modifications, and draft customer communications as required.</li><li>Process, track, and reconcile daily customer payments and deposits.</li><li>Collaborate with the Accounts Receivable associate to support collection efforts, striving to meet organizational goals while maintaining strong customer relationships.</li><li>Efficiently handle high-volume email correspondence via a shared inbox, ensuring effective prioritization.</li><li>Uphold compliance with internal documentation standards and requirements.</li><li>Perform regular reconciliations to maintain data accuracy between multiple softwares. Partner with Customer Service and Sales Operations teams to address any discrepancies.</li><li>Identify opportunities for process improvement within billing and collections functions and recommend enhancements.</li></ul>
<p>Our client, located in Vancouver, is seeking a detail-oriented and reliable Accounts Receivable – Cash Application Specialist to join their large finance team. In this role, you will be responsible for accurately posting and reconciling payments, resolving discrepancies, and supporting AR processes to ensure timely and accurate financial reporting.</p><p><br></p><p>Key Responsibilities:</p><ul><li>Post daily cash receipts (cheques, EFTs, e-transfers, credit cards) in a timely manner to maintain accurate AR balances</li><li>Identify and resolve discrepancies between payments and invoices</li><li>Process credit card payments, e-transfers, and refunds</li><li>Correct posting errors and apply prepayments to the appropriate invoices</li><li>Prepare and deliver daily deposit reports to management</li><li>Monitor and manage the AR inbox to ensure timely response to inquiries</li><li>Complete vendor setup and payment forms to enable direct deposit processing</li><li>Generate and update monthly aging reports for large clients (e.g., insurers, property managers)</li><li>Collaborate with the Cash Application team and AR Manager to improve processes and implement new procedures</li><li>Provide backup support to the AR team as required</li><li>Assist with other finance-related duties as needed</li></ul><p><br></p><p><br></p>
<p>Our client in Edmonton is seeking a contract <strong>Accounts Receivable Specialist</strong> to support their finance team. The role requires someone who can hit the ground running with minimal training.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Process Visa expense reports and clear backlog</li><li>Run EFTs biweekly for the company and monthly for vendors</li><li>Handle AR collections and invoicing</li><li>Maintain customer and vendor contact info</li><li>Assist with AP/AR duties and Concur implementation</li><li>Communicate with clients</li><li>Ad-hoc duties as requested</li></ul>
<p>We are looking for a detail-oriented and proactive Accounts Payable Coordinator to join our team in Vancouver, British Columbia. This 3 months contract position offers an exciting opportunity to contribute to managing financial operations for a company dedicated to sustainable and affordable housing. If you have a strong background in accounts payable and thrive in a fast-paced environment, we encourage you to apply.</p><p><br></p><p>Responsibilities:</p><p>• Process and prepare monthly cheque runs and electronic payments to ensure timely vendor transactions.</p><p>• Verify statutory declarations and clearance letter documentation for trade payments to maintain regulatory compliance.</p><p>• Enter and accurately code invoices and expense reports in accordance with company policies.</p><p>• Manage vendor accounts, including addressing discrepancies and maintaining positive relationships.</p><p>• Ensure proper authorization and recordkeeping procedures are adhered to for all financial transactions.</p><p>• Reconcile monthly credit card statements to ensure accurate financial reporting.</p><p>• Utilize Sage 300 Construction and Real Estate software to manage accounts payable tasks efficiently.</p><p>• Collaborate with internal teams to address and resolve any accounts payable-related issues.</p><p>• Support additional administrative and financial duties as required.</p>
<p>Nous recherchons un spécialiste de la paie expérimenté pour superviser l'ensemble du cycle de paie, tout en assurant la conformité et l'efficacité des processus. Ce rôle exige une collaboration étroite avec divers partenaires, tant locaux qu'internationaux, pour garantir une exécution précise et ponctuelle. Ce poste offre une chance unique d'intégrer une entreprise dynamique.</p><p><br></p><p>Responsabilités:</p><p>• Superviser l'ensemble du cycle de paie pour les employés, en veillant à une exécution précise et ponctuelle.</p><p>• Vérifier et concilier les remises gouvernementales, les retenues à la source et les factures liées aux avantages sociaux.</p><p>• Collaborer avec les équipes des ressources humaines et des finances pour améliorer et documenter les processus de paie dans Workday.</p><p>• Maintenir l'intégrité des données des employés, y compris les embauches, les départs et les changements internes.</p><p>• Gérer les activités liées à la paie pour les clôtures mensuelles et annuelles, tout en assurant la conformité.</p><p>• Travailler avec les fournisseurs européens pour garantir une gestion efficace des processus de paie.</p><p>• Assurer la préparation et le traitement des déclarations fiscales de fin d'année, y compris les T4.</p><p>• Soutenir les entrées de journal de fin de mois pour les activités liées à la paie.</p><p>• Identifier et mettre en œuvre des améliorations aux processus existants pour optimiser l'efficacité.</p>
<p><strong>We are partnering with an organization looking to add a Bookkeeper to their Finance team in the Cornwall region. This is a full-time/permanent position on site. </strong></p><p><br></p><p><strong>Responsibilities:</strong></p><p>• Manage the full cycle of Accounts Payable (AP) and Accounts Receivable (AR) processes, ensuring timely and accurate transactions</p><p>• Process payroll for a team of 60-70 employees while staying updated on statutory payroll regulations</p><p>• Prepare and distribute T4s and other relevant payroll documents</p><p>• Review and validate invoices for accuracy and follow up with vendors to resolve any discrepancies</p><p>• Enter bills into the accounting system and coordinate supplier payments</p><p>• Reconcile bank and credit card statements to maintain accurate financial records</p><p>• Prepare deposits and draft cheques for approval and signature</p><p>• Assist in the preparation of financial statements and other reports as needed</p><p>• Support month-end and year-end closing activities, ensuring completeness and compliance</p><p>• Collaborate with management on various financial tasks and provide additional support as needed</p>
<p>Our client is searching for a detail-oriented fluently <strong>Bilingual Accounting Clerk</strong> to join their team in Ottawa, Ontario. In this role, you will handle a variety of financial tasks, including invoice processing, account reconciliation, and supporting month-end and year-end activities. The ideal candidate will bring excellent organizational skills and a commitment to maintaining accurate records while collaborating effectively with colleagues and clients.</p><p><br></p><p><strong>Responsibilities:</strong></p><p>• Prepare, review, and make adjustments to client invoices in coordination with lawyers.</p><p>• Address accounts receivable inquiries and provide prompt assistance to internal and external stakeholders.</p><p>• Collaborate with the accounting team to facilitate month-end and year-end closing processes.</p><p>• Maintain accurate financial records by processing billing and performing account reconciliations.</p><p>• Utilize accounting software and tools like Microsoft Excel to ensure efficient financial operations.</p><p>• Conduct data entry tasks with precision to uphold data integrity.</p><p>• Support the department by undertaking additional responsibilities as assigned.</p>
<p><strong>Our client in Leduc is seeking an experienced Accounts Receivable Clerk for a contract opportunity.</strong> This role is ideal for a detail-oriented and flexible individual with strong integrity, capable of handling sensitive information and working in a fast-paced environment.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Manage full-cycle Accounts Receivable processes</li><li>Perform daily collections activities</li><li>Process ambulance invoices and billing (approx. 10 per day)</li><li>Handle front desk duties including cashier and customer service</li><li>Process incoming payments accurately</li><li>Provide ad hoc administrative and financial support as required</li><li>Support Accounts Payable processes</li><li>Conduct data manipulation and reporting using Excel</li><li>Ad-hoc duties as requested</li></ul>
<p>Robert Half is partnered with a Canadian manufacturing organization who is hiring an Accounts Payable Administrator to their team. This is a full time permanent position located in the Georgetown area. The Accounts Payable Administrator will be reporting to the Controller and will be responsible for;</p><ul><li>Monitor AP inbox, process PO and non-PO invoices</li><li>Matching invoices with purchase orders and packing slips</li><li>Accurate coding invoices, obtaining approvals, and data entry of invoices into ERP</li><li>Prepare payment runs weekly via EFT, Wires and Cheques</li><li>Process employee expense reports </li><li>Follow up with vendors and perform vendor statement reconciliations </li><li>Support the Controller with Month End Close</li></ul>
<p>We’re seeking a highly organized and detail-oriented Office Manager/Bookkeeper who can run the day-to-day operations of a busy office while also managing bookkeeping responsibilities. This position is ideal for someone who enjoys structure, problem-solving, and keeping both people and processes on track.</p><p><br></p><p>You’ll be the backbone of the office—handling everything from finance and vendor contracts to IT coordination and administration—while working closely with leadership in a collaborative, high-performance environment.</p><p><br></p><p><strong>What You’ll Be Doing</strong></p><ul><li>Administration & Office Management: Oversee end-to-end administrative coordination, daily office operations, scheduling, office supplies, and facilities.</li><li>Finance & Accounting: Manage AP/AR, client invoicing and collections, and liaise with external bookkeepers to ensure timely reconciliation and reporting.</li><li>Systems & Organization: Maintain filing systems, onboarding checklists, and team documentation to keep processes clear and efficient.</li><li>Vendor & IT Coordination: Serve as the main contact for IT and other vendors, troubleshoot basic tech issues, and manage software subscriptions/licenses.</li><li>Contracts & Vendor Management: Draft, track, organize, and renew client, supplier, and contractor agreements.</li></ul><p><strong>Tools You’ll Use</strong></p><ul><li>Xero or QuickBooks (or similar accounting platforms)</li><li>Google Workspace & MS Excel</li><li>Contract/document tracking tools and other cloud-based platforms</li></ul><p><strong>The Work Environment</strong></p><ul><li>100% in-office in Downtown Vancouver.</li><li>Collaborative, fast-growing team with a strong emphasis on operational excellence and human-centered values.</li><li>Award-winning, boutique firm recognized nationally and internationally for leadership and development programs.</li><li>Small but dynamic group of highly qualified professionals who value structure, precision, and continuous improvement.</li></ul><p><strong>Compensation & Perks</strong></p><ul><li>Quarterly profit-sharing bonus (approx. $300–$1000 per quarter).</li><li>Competitive benefits package.</li><li>Support for ongoing professional development.</li></ul>
<p>We are in search of an Accounting Clerk to join our team based in North York, Ontario. The role involves managing customer accounts, processing applications, and maintaining meticulous records. The position is an excellent opportunity for a detail-oriented individual who is adept at handling a variety of accounting tasks in a dynamic environment.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Efficiently process customer credit applications and ensure accuracy in all transactions.</p><p>• Skillfully manage Accounts Receivable (AR) and Accounts Payable (AP) functions.</p><p>• Conduct account reconciliation tasks with a keen eye for detail.</p><p>• Prepare financial statements and trial balances in a timely manner.</p><p>• Handle GST/HST related accounting duties.</p><p>• Utilize Microsoft Excel for data entry and invoice processing tasks.</p><p>• Monitor customer accounts and take necessary action when required.</p><p>• Use Odoo for various accounting tasks and maintain up-to-date records.</p><p>• Support inventory and stock management processes.</p><p>• Collaborate with the team for year-end closing and audit processes.</p>
<p>Our Langley based real estate client is looking to hire an Accounting Clerk for their team. The Accounting Clerk will be responsible for payables (30-%) and receivables, including collections (30%), as well as month end duties (40%) ranging from account and back reconciliations to remittances.</p>
<p>Robert Half is partnered with a growing construction company who is in search of a Bookkeeper to join their team. This is a full time permanent position located in the Mississauga area. The ideal candidate will have strong organizational skills, excellent communication abilities, and a keen understanding of bookkeeping and accounting in the construction industry.</p><p><br></p><p><strong>Key Responsibilities</strong></p><ul><li>Process vendor invoices, reconcile statements, and ensure timely and accurate payments.</li><li>Manage subcontractor and supplier payments while ensuring proper documentation and compliance with company policies.</li><li>Generate and distribute invoices for all projects and services.</li><li>Monitor and follow up on outstanding receivables, ensuring timely collections.</li><li>Prepare, review, and send service-related invoices to clients.</li><li>Collaborate closely with the service team to ensure accurate billing and prompt issue resolution.</li><li>Handle weekly payroll for field and office staff, ensuring accuracy in compliance with labor laws and company policies.</li><li>Track time entries and resolve discrepancies promptly.</li><li>Work alongside project managers to review project budgets, handle cost allocations, and track job performance.</li><li>Provide financial reports and insights to assist in project decision-making.</li><li>Assist with month-end and year-end financial reporting.</li><li>Maintain accurate and organized financial records.</li><li>Reconcile bank statements and assist with audits as needed.</li></ul><p><br></p>
<p>Robert Half is partnered with a leading food manufacturing organization who is looking to hire an Accounts Receivable Specialist to their growing team. This is a full time permanent position located in the Mississauga area. Reporting to the Controller, the Accounts Receivable Specialist will be responsible for;</p><p>- Monitor and manage the accounts receivable ledger, ensuring timely and accurate processing of invoices and receipts</p><p>- Review aging reports regularly and prioritize accounts for collection efforts based on payment terms and risk</p><p>- Proactively contact customers via phone, email, and written correspondence to follow up on past-due invoices and resolve payment delays</p><p>- Maintain positive customer relationships to facilitate prompt resolution of payment issues while upholding professional communication standards</p><p>- Post payments in the ERP system and prepare bank deposits</p><p>- Investigate and resolve disputes related to deductions</p><p>- Work closely with internal teams (e.g. sales and finance departments) to address and resolve customer concerns effectively</p><p>- Perform trade spend analysis</p><p>- Prepare weekly and monthly accounts receivable reports and provide updates to management on the status of outstanding payments</p><p>- Maintain thorough and accurate records of all collection activities, communications, and payment arrangements for audit or review purposes</p><p>- Post journal entries and support the Controller with Month End close procedure</p><p>- Identify opportunities to streamline and improve the accounts receivable and collection processes</p><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>Are you looking to further your career in the field of accounting while working in a dynamic and supportive environment? Our client is seeking a <strong>Accounting Clerk</strong> to join their team and support various finance operations. This is an excellent opportunity for professionals with a strong accounting foundation, keen attention to detail, and a passion for organization and efficiency.</p><p> </p><p><strong>Key Responsibilities</strong></p><p><strong></strong></p><p>In this role, the Accounting Clerk will:</p><ul><li>Take ownership of the <strong>expense reporting process</strong>, which will represent 50% or more of their workload, ensuring it is both comprehensive and accurate.</li><li>Assist with <strong>Accounts Payable (AP)</strong> and <strong>Accounts Receivable (AR)</strong> tasks, including ad hoc support as needed.</li><li>Provide <strong>data entry support</strong> for the finance department, ensuring accuracy and timely completion of tasks.</li><li>Manage <strong>incoming requests</strong> for the finance department and ensure they are directed or resolved efficiently.</li></ul><p><strong> </strong></p><p><br></p>