<p>Notre client est à la recherche d'un Contrôleur Adjoint pour intégrer son équipe basée à Montréal. En tant que Contrôleur Adjoint, vous serez en charge de superviser les opérations comptables quotidiennes, y compris les comptes fournisseurs, les comptes clients et les fonctions de grand livre. Vous serez également responsable de la gestion de la trésorerie et des prévisions.</p><p><br></p><p>Responsabilités:</p><p><br></p><p>• Superviser les opérations comptables quotidiennes, notamment les comptes fournisseurs et clients, ainsi que les fonctions du grand livre.</p><p>• Assurer l'enregistrement précis et en temps voulu des transactions financières, conformément aux principes comptables.</p><p>• Préparer les états financiers, les analyses et les rapports requis par les organismes de réglementation et les bureaux corporatifs.</p><p>• Gérer et prévoir la trésorerie de l'entreprise.</p><p>• Maintenir un système documenté de contrôles sur les transactions comptables, les politiques et les procédures.</p><p>• Suivre et enregistrer les coûts liés à la R& D.</p><p>• Préparer les audits internes et externes, fournir la documentation et les explications nécessaires, et répondre à toute question d'audit.</p>
<p>Nous recherchons un<strong> Contrôleur</strong> expérimenté pour rejoindre une PME basée sur la Rive-Sud de Montréal (aut. 30). Ce mandat est pour une durée de 18 mois suite a un remplacement de congé de maternité, et avec supervision d’une petite équipe. Ce poste est 5 jours semaine en présentiel pour les trois premiers mois et par la suite hybride soit 3 jours semaines en présentiel et 2 jours semaine en télétravail.</p><p> </p><p><strong><u>Responsabilités:</u></strong></p><p>• Superviser trois employés et assurer une gestion efficace des opérations financières.</p><p>• Préparer et analyser les états financiers mensuels et annuels.</p><p>• Effectuer les clôtures de fin de mois et de fin d'année, y compris les écritures de journal et les états financiers.</p><p>• Superviser et approuver le traitement des comptes fournisseurs et des processus de paie, y compris les écritures liées à la paie.</p><p>• Élaborer et surveiller le budget annuel, tout en produisant des rapports financiers pour les parties prenantes.</p><p>• Gérer le flux de trésorerie et effectuer des analyses financières mensuelles, notamment les comparaisons entre le budget et les résultats réels.</p><p>• Responsable des audits externes et fournir un soutien pour garantir la conformité.</p><p>• Effectuer des analyses spécifiques, telles que l'analyse des taux machines et des inventaires annuels.</p><p>• Surveiller la qualité des données financières et diriger des projets spéciaux en comptabilité, selon les besoins.</p><p> </p><p> </p><p>We are seeking an experienced <strong>Controller</strong> to join an SME located on Montreal's South Shore (Highway 30). This is an 18-month contract following a maternity leave replacement, and involves supervising a small team. The position is 5 days a week in the office for the first three months, followed by a hybrid model of 3 days a week in the office and 2 days a week working remotely.</p><p><br></p><p><strong><u>Responsibilities:</u></strong></p><p>• Supervise three employees and ensure the efficient management of financial operations.</p><p><br></p><p>• Prepare and analyze monthly and annual financial statements.</p><p><br></p><p>• Perform month-end and year-end closings, including journal entries and financial statements.</p><p><br></p><p>• Oversee and approve accounts payable and payroll processes, including payroll-related entries.</p><p><br></p><p>• Develop and monitor the annual budget, while producing financial reports for stakeholders.</p><p><br></p><p>• Manage cash flow and perform monthly financial analyses, including budget vs. actual results comparisons.</p><p><br></p><p>• Oversee external audits and provide support to ensure compliance.</p><p><br></p><p>• Conduct specific analyses, such as machine rate analysis and annual inventory counts.</p><p><br></p><p>• Monitor the quality of financial data and lead special accounting projects as needed.</p>
<p>Nous recherchons un <strong>CONSULTANT – SPÉCIALISTE POWER BI</strong> avec une connaissance de la comptabilité afin d’aider le département de comptabilité dans leur besoin de rapports. Ce mandat contractuel est d’une durée de 3 à 6 mois et ce en mode hybride. </p><p> </p><p><strong><u>Responsabilités:</u></strong></p><p>• Collaborer avec les équipes financières afin de fournir des analyses et des rapports pertinents pour soutenir la prise de décisions stratégiques.</p><p>• Développer et maintenir des tableaux de bord interactifs et des rapports visuels à l'aide de Microsoft Power BI.</p><p>• Utiliser Power Query pour transformer et modéliser des ensembles de données complexes.</p><p>• Créer des modèles de données dimensionnels afin d'optimiser l'analyse et la visualisation des données.</p><p>• Analyser les données pour identifier les tendances, les opportunités et les défis en appui aux objectifs organisationnels.</p><p>• Assurer l'intégrité et la qualité des données dans les systèmes BI.</p><p>• Travailler en étroite collaboration avec les parties prenantes pour comprendre leurs besoins en matière de reporting.</p><p>• Fournir des recommandations basées sur les données pour améliorer les processus financiers et opérationnels.</p><p>• Participer à des projets d'amélioration continue liés à l'intelligence d'affaires.</p><p>• Agir en tant que point de contact principal pour les initiatives BI au sein de l'organisation.</p><p> </p><p>We are seeking a <strong>POWER BI CONSULTANT</strong> with accounting knowledge to support the accounting department with their reporting needs. This is a 3–6-month contract position, working on a hybrid basis.</p><p><br></p><p><strong><u>Responsibilities:</u></strong></p><p>• Collaborate with finance teams to provide relevant analyses and reports to support strategic decision-making.</p><p>• Develop and maintain interactive dashboards and visual reports using Microsoft Power BI.</p><p>• Use Power Query to transform and model complex datasets.</p><p>• Create dimensional data models to optimize data analysis and visualization.</p><p>• Analyze data to identify trends, opportunities, and challenges in support of organizational objectives.</p><p>• Ensure data integrity and quality within BI systems.</p><p>• Work closely with stakeholders to understand their reporting needs.</p><p>• Provide data-driven recommendations to improve financial and operational processes.</p><p>• Participate in continuous improvement projects related to business intelligence.</p><p>• Act as the primary point of contact for BI initiatives within the organization.</p>
<p>Robert Half has an exceptional opportunity for a permanent Accounts Payable (A/P) Analyst to join the team at a recognized company in the Healthcare, Hospitals, Social Assistance industry. The Accounts Payable Analyst is responsible for matching, batching, and coding invoices, resolving A/P issues, updating and reconciling sub-ledger to G/L, and processing checks and expense reports. Within this dynamic department, you will have the opportunity to advance and grow your career. The Accounts Payable Analyst role is a permanent position based in the Toronto, Ontario area.</p><p><br></p><p>Responsibilities</p><p><br></p><p>- Accurately execute daily processes and controls in a timely manner while ensuring company policies are followed</p><p><br></p><p>- Sort, log, scan, and file invoices, checks, and other documents</p><p><br></p><p>- Handle the customer service needs of internal business partners</p><p><br></p><p>- Manage validating, recording, and mailing checks and expedite special handling</p><p><br></p><p>- Provide support during internal and external audits</p><p><br></p><p>- Handle daily department mail by opening, sorting, and distributing it</p><p><br></p><p>- Produce full-cycle A/P</p><p><br></p><p>- Execute additional tasks as needed</p><p><br></p><p>- Assist the AP/Finance Department with administrative tasks</p>
We are seeking a Job Cost Analyst to join our team. In this role, you will be expected to prepare and maintain project budgets, provide financial analysis, and ensure accurate and timely billing. You will also be tasked with monitoring job costs and identifying potential risks.<br><br>Responsibilities include:<br><br>• Maintaining and analyzing project budgets, including preparing estimates of costs to complete<br>• Utilizing JD Edwards software for job setup, cost code addition, change order logging and review, booked sales recording, and job forecast review and update<br>• Monitoring labor costs and preparing salary recovery worksheets and other cost transfer forms<br>• Conducting detailed variance analysis, identifying trends, and flagging potential risks and concerns<br>• Providing job cost information for month end, quarter end, and year end close<br>• Running profit recognition reports and participating in month-end WIP reviews<br>• Ensuring project setup/structure supports billing requirements and setting up billing lines as needed<br>• Generating accurate and timely draft billing for customer approval, posting approved invoices, and collecting overdue invoices<br>• Reconciling monthly billed/unbilled vs. revenue activity, investigating and resolving unexplained reconciling items<br>• Sending invoices to clients, monitoring job for holdback release timelines, and procuring required documents for release<br>• Providing ad-hoc financial analysis and reports for management as requested
<p>Due to our clients growth, we are looking for an experienced Director of Corporate Finance to take on a leadership role within our clients organization based in Ottawa, Ontario. This position offers an exciting opportunity to oversee corporate finance operations, ensure compliance with Canadian and international financial regulations, and support risk management processes. The ideal candidate will bring expertise in financial strategy, budgeting, and internal controls while driving organizational efficiency. You will report to the CFO.</p><p><br></p><p><strong>Advantages:</strong></p><p>• 4 days in office. Free parking</p><p>• Excellent benefits. 4 weeks annual leave, plus the week between Christmas and New Year. RSP plan.</p><p><br></p><p><strong>Responsibilities:</strong></p><p>• Oversee the full-cycle accounting process, including monthly close procedures and account reconciliations.</p><p>• Prepare consolidated financial statements and supervise the creation of local statutory financial reports for international operations.</p><p>• Manage external audits for corporate financial statements and country-specific audits, ensuring compliance with regulatory standards.</p><p>• Develop and maintain accounting policies and procedures to enhance systems, improve efficiency, and align with regulatory requirements.</p><p>• Provide training and guidance to staff on financial policies, procedures, and best practices.</p><p>• Lead annual budgeting processes, create financial forecasts, and support workforce planning initiatives.</p><p>• Monitor and manage treasury operations, including cash flow forecasting and insurance processes.</p><p>• Ensure timely and accurate filing of statutory reports, including tax documents and regulatory filings.</p><p>• Drive organizational risk management processes by implementing strategies aligned with the company’s risk management framework.</p><p>• Serve as the internal expert on risk management practices, developing policies to identify, assess, and mitigate organizational risks.</p>
<p>Nous recherchons un comptable de projet expérimenté pour rejoindre l'équipe de notre client à Carignan. Vous serez responsable de superviser les aspects financiers des projets de construction tout en veillant à l'exactitude des rapports financiers et à la conformité aux normes comptables.</p><p><br></p><p>Responsabilités:</p><p>• Gérer les opérations comptables liées aux projets de construction, y compris la gestion des budgets et des coûts.</p><p>• Analyser les états financiers pour identifier les tendances et fournir des recommandations stratégiques.</p><p>• Préparer des rapports financiers détaillés et précis pour appuyer la prise de décision.</p><p>• Assurer la conformité des pratiques comptables avec les normes en vigueur.</p><p>• Collaborer avec les équipes de projet pour garantir une gestion efficace des finances.</p><p>• Surveiller et contrôler les flux de trésorerie des projets.</p><p>• Utiliser le système T2000 pour les opérations financières et le suivi des données.</p><p>• Identifier et résoudre les écarts budgétaires ou financiers.</p><p>• Fournir un soutien dans les audits financiers et la documentation des processus.</p><p>• Participer à des réunions de projet pour assurer une communication efficace sur les aspects financiers.</p>
<p><strong>About the Role</strong></p><p>Our client is seeking a <strong>Finance Manager</strong> to lead a high-performing finance team and elevate the organization's financial capabilities as they continue to grow. This is an exciting opportunity for a dynamic finance professional who thrives in a collaborative environment and is passionate about driving business success through insight and leadership.</p><p><br></p><p>Reporting to the Director of Finance, you’ll oversee day-to-day financial operations, budgeting, forecasting, reporting, and analytics. You’ll work closely with operational teams to deliver actionable insights, develop KPIs, and ensure financial processes align with strategic objectives. Your leadership will directly impact profitability, efficiency, and sustainable growth.</p><p><br></p><p><strong>What is in it for You?</strong></p><ul><li><strong>Career Growth:</strong> Be part of an expanding organization with opportunities to advance and shape the finance function.</li><li><strong>Collaborative Culture:</strong> Work alongside dynamic Corporate and Operations Teams, fostering cross-functional partnerships.</li><li><strong>Learning Opportunities:</strong> Gain exposure to innovative projects and cutting-edge infrastructure solutions.</li><li><strong>Hybrid Flexibility:</strong> Enjoy a balanced work model that supports productivity and well-being.</li><li><strong>Competitive Rewards:</strong> Benefit from a comprehensive compensation package including company-paid health benefits and defined benefit pension plan designed to recognize your expertise, support your current well-being and help you plan for the future.</li></ul><p><strong>Key Responsibilities</strong></p><ul><li>Manage month-end close and oversee full-cycle accounting process.</li><li>Lead preparation of monthly, quarterly, and annual financial reports with insightful analysis.</li><li>Partner with operational teams to track performance, analyze margins, and drive profitability.</li><li>Develop KPI dashboards for data-driven decision-making.</li><li>Support budgeting, forecasting, and financial modeling for short- and long-term planning.</li><li>Monitor cash flow, working capital, and profitability trends.</li><li>Ensure compliance with accounting standards and regulatory requirements.</li><li>Oversee and mentor finance team members, fostering growth and excellence.</li><li>Collaborate on billing, cost tracking, and revenue recognition processes.</li><li>Provide backup support for payroll, benefits, and pension administration.</li></ul><p><br></p><p><br></p><p><br></p><p><br></p><p><br></p>
<p>Nous recherchons un comptable immobilier principal pour rejoindre l'équipe dynamique de notre client à Montréal. Ce poste requiert une expertise approfondie en comptabilité immobilière ainsi qu'une capacité à gérer des tâches complexes, telles que l'analyse de baux, la gestion des clôtures mensuelles et annuelles, et le soutien aux audits. Si vous possédez une solide expérience, un grand sens du détail et une passion pour l'optimisation des processus, cette opportunité est faite pour vous.</p><p><br></p><p>Responsabilités:</p><p>• Analyser les ententes de bail pour déterminer les obligations de facturation, les dépenses récupérables et les ajustements de loyer.</p><p>• Collaborer étroitement avec les équipes de gestion immobilière et de location pour suivre les modifications des baux, les renouvellements et les changements de locataires.</p><p>• Diriger et soutenir les processus de clôture mensuelle et annuelle en préparant et en révisant les écritures comptables, les rapprochements de comptes et les états financiers.</p><p>• Préparer les provisions de facturation supplémentaires et effectuer les rapprochements complexes pour les locataires de détail.</p><p>• Maintenir le grand livre général et s'assurer que toutes les transactions financières sont enregistrées avec précision.</p><p>• Coordonner avec les départements internes pour collecter et vérifier les informations financières.</p><p>• Soutenir les audits internes et externes en préparant les documents nécessaires et en répondant aux demandes des auditeurs.</p><p>• Participer à l'élaboration des budgets, des prévisions et des plans financiers.</p><p>• Identifier les opportunités d'amélioration des processus et contribuer à la mise en œuvre des meilleures pratiques en comptabilité.</p><p>• Encadrer et soutenir les membres juniors de l'équipe comptable et les techniciens en comptabilité.</p>
<p><strong>THE ROLE:</strong></p><p>We have Consulting opportunity for Financial & Organizational Policy Development that can start immediately! If you are a skilled consultant with a strong background in organizational and financial policy development, and process mapping this could be for you.</p><p>We are looking for a consultant who can support work in three core areas:</p><ul><li><em>Financial policy and process review:</em> Review existing financial practices, controls, and workflows. Support development of improved financial procedures and documentation</li><li><em>Organizational Policy Review & Development:</em> Review current organizational and departmental policies for clarity, alignment, and compliance. Draft new policies or update existing ones to reflect operational needs and industry standards. Work with leadership and subject‑matter experts to ensure policies are practical, sustainable, and easy to operationalize</li><li><em>Process Mapping (Financial & Operational):</em> Map current-state financial and operational processes</li></ul><p><strong>ABOUT YOU:</strong></p><p>With experience as a Process Improvement/Re-Engineering Analyst or a similar role under your belt, you possess the ability to review, understand and recommend upgrades to current processes and systems, ensuring that all elements align to yield the most efficient outcomes. Internal controls and processes are your strong suit and you're known for your keen attention to detail and precision. You are a strong collaborator and have a constant eye toward process improvement, only further heightening the value you provide. Ready to put your technical and strategic capabilities to the test, you are all set to become an indispensable part of our team.</p><p><br></p><p><strong>WHAT'S ON OFFER?</strong></p><p>Join our client’s dynamic and forward-thinking workplace, where professional growth is not just encouraged but celebrated. In addition to a competitive wage, this role offers you a unique chance to delve into the intricate operations of the business. You'll gain invaluable insights through hands-on experiences and cross-functional collaborations that will elevate your skill set. If you're ready to make a tangible difference, we invite you to submit your application online today and be a part of our client's vision for optimized processes.</p>
<p>Nous recherchons un Directeur en comptabilité pour rejoindre l'équipe dynamique de notre client à Montréal. Le candidat idéal aura une expertise en gestion financière et en supervision des processus comptables, tout en veillant à la conformité des normes fiscales et réglementaires. Ce rôle offre une occasion unique de diriger et d’optimiser les opérations comptables au sein d’une organisation en pleine croissance.</p><p><br></p><p>Responsabilités:</p><p>• Superviser les opérations comptables quotidiennes et garantir l’exactitude des rapports financiers.</p><p>• Préparer et examiner les déclarations fiscales corporatives en conformité avec la législation en vigueur.</p><p>• Effectuer des analyses approfondies des états financiers pour identifier les tendances et proposer des améliorations.</p><p>• Assurer la préparation et la révision des rapports financiers, y compris les Avis au lecteur.</p><p>• Collaborer avec les équipes internes pour développer et mettre en œuvre des stratégies financières efficaces.</p><p>• Encadrer et soutenir le développement de l’équipe comptable.</p><p>• Identifier et résoudre les problèmes financiers complexes tout en maintenant une communication transparente avec les parties prenantes.</p><p>• Veiller à la mise en place et au respect des politiques et procédures comptables.</p><p>• Participer à l’élaboration de budgets et au suivi des performances financières.</p><p>• Fournir des recommandations stratégiques pour atteindre les objectifs financiers de l’entreprise.</p>
<p>Nous recherchons un contrôleur expérimenté pour superviser les opérations financières et comptables de l'organisation de notre client, basé à Lutes Mountain, Nouveau-Brunswick. Ce rôle clé nécessite une approche stratégique pour garantir des processus financiers efficaces, une conformité rigoureuse et une gestion proactive des audits internes et externes. Le candidat idéal sera motivé par l’amélioration continue et doté d’excellentes compétences en gestion et en leadership.</p><p><br></p><p>Responsabilités:</p><p>• Superviser les processus de clôture mensuelle, trimestrielle et annuelle pour garantir leur exécution précise et dans les délais.</p><p>• Élaborer et gérer les processus de rapprochement des comptes, en veillant à ce que le bilan soit entièrement réconcilié chaque mois.</p><p>• Assurer la production de rapports financiers et d’états financiers fiables et en temps opportun.</p><p>• Gérer toutes les opérations comptables, y compris les comptes clients et fournisseurs, la comptabilité générale, les actifs fixes, la trésorerie et la comptabilité intersociétés.</p><p>• Mettre en œuvre des améliorations de processus et de procédures pour optimiser les flux de travail au sein du département.</p><p>• Préparer et diriger les revues mensuelles de gestion, en fournissant des analyses financières détaillées et des rapports de performance.</p><p>• Mettre en place des contrôles internes robustes, surveiller la conformité et maintenir une documentation adéquate.</p><p>• Maintenir une piste de vérification complète pour documenter les contrôles de fin de mois et de trimestre.</p><p>• Soutenir l’audit annuel en tant que responsable local, tout en coordonnant les activités d’audit internes et externes.</p><p>• Collaborer avec les équipes de direction pour développer des budgets annuels et des prévisions trimestrielles.</p>
<p><strong>THE ROLE:</strong></p><p>Our public sector client is seeking a Senior Accountant to support a time-sensitive project requiring strong attention to detail, sound professional judgment, and hands-on execution. This role will focus on contract review, reconciliation, and completion of mandated reporting.</p><p><em>Key Responsibilities:</em></p><ul><li>Review and interpret legal and financial contracts, extracting relevant accounting and compliance components</li><li>Complete and validate large volumes of data required for reporting</li><li>Perform reconciliations to ensure accuracy and completeness of financial information</li><li>Ensure all deliverables are aligned with standards and timelines</li></ul><p><strong>ABOUT YOU:</strong></p><p>You bring strong technical accounting experience, thrive in structured and deadline‑driven environments, and excel at distilling information from detailed contracts and datasets. You have the confidence to apply accounting judgment, the diligence to complete thorough reconciliations, and the ability to work hands‑on with significant data entry while maintaining exceptional accuracy.</p><p><br></p><p><strong>WHAT'S ON OFFER?</strong></p><p>A meaningful opportunity to contribute to a key public sector initiative where precision, professionalism, and reliability matter. You’ll join a collaborative team and support high‑visibility deliverables that require expert execution. A competitive wage will be offered based on experience and the specialized nature of this engagement. If you have the experience required and are interested in being considered for this opportunity, please apply now!</p>
<p><strong>THE ROLE:</strong></p><p>We are seeking an experienced and collaborative Finance Manager to support a vibrant, multi‑departmental organization through a six‑month contract. This role oversees full-cycle financial reporting, monthly statements, and ASNPO-compliant reporting while supervising a small but diverse accounting team. You will play a key role in strengthening financial processes, supporting budget activities, and acting as a trusted business partner across the organization.</p><p><em>Key Responsibilities:</em></p><ul><li>Prepare monthly financial statements, including variance analysis and ASNPO reporting</li><li>Lead and mentor a small team of accounting staff </li><li>Support and planning activities and budget preparation</li><li>Oversee high-volume accounts payable workflows</li><li>Partner closely with operational leaders to enhance financial processes, promote transparency, and build alignment across departments</li><li>Foster a customer-focused finance function that supports organizational efficiency and shared goals</li></ul><p><strong>ABOUT YOU:</strong></p><p>You are an open communicator who values efficiency, clarity, and partnership. You bring strong technical expertise paired with the ability to guide team members of varying experience levels. You thrive in an environment with diverse stakeholders and high transaction volumes, and you’re energized by the opportunity to elevate financial operations while maintaining a supportive and collaborative culture.</p><p><br></p><p><strong>WHAT'S ON OFFER?</strong></p><p>This is an exciting contract opportunity to step into a meaningful leadership role within a dynamic, mission-driven environment and gain further experience. You’ll work closely with leaders across the organization and have the chance to influence process improvements and strengthen organizational impact. In addition to a competitive wage, you’ll be joining a workplace that values open communication, teamwork, and continuous improvement. We invite you to submit your application online today and be a part of our client's vision for optimized processes.</p>
We are looking for a skilled Crypto & Fiat Analyst to join our team on a long-term contract basis in Toronto, Ontario. In this role, you will analyze and manage credit-related activities while ensuring compliance with financial regulations and standards. This position offers an excellent opportunity to contribute your expertise in financial systems and credit management.<br><br>Responsibilities:<br>• Analyze credit data and assess financial risks for both crypto and fiat transactions.<br>• Utilize accounting software systems to manage and monitor financial activities effectively.<br>• Collaborate with internal teams to improve CRM and ERP processes.<br>• Oversee loan administration tasks, ensuring timely and accurate processing.<br>• Conduct ad hoc financial analyses to support decision-making and strategy development.<br>• Implement and maintain collection processes to optimize cash flow and minimize risk.<br>• Provide exceptional customer service by addressing inquiries and resolving issues promptly.<br>• Ensure compliance with financial services regulations and organizational policies.<br>• Develop reports and insights to inform business strategies and improve operational performance.<br>• Identify opportunities for process improvement within credit-related functions.
<p>We are looking for a skilled AR - Trades Deductions Analyst to join our team on a Contract basis in Markham, Ontario. In this role, you will support accounts receivable operations by analyzing customer deductions and ensuring efficient resolution of trade-related issues. This position offers an excellent opportunity to work collaboratively with brokers, clients, and customers while contributing to process improvement initiatives.</p><p><br></p><p>Responsibilities:</p><p>• Analyze and validate customer deductions, including post audits for tier-one accounts, using trade management software and Excel to ensure accurate documentation.</p><p>• Monitor and resolve outstanding open deductions, ensuring timely clearance while aligning with company cash flow objectives.</p><p>• Collaborate with customers, brokers, and supervisors to address complex deduction issues and provide solutions.</p><p>• Communicate effectively with brokers, clients, and customers to resolve unauthorized deductions, identify trends, and implement corrective actions.</p><p>• Develop strategies to streamline processes and reduce deduction volume, driving cost efficiency and administrative improvements.</p><p>• Maintain accurate records of deduction transactions and ensure compliance with organizational standards.</p><p>• Assist in identifying opportunities for enhancing trade deduction processes to support organizational goals.</p><p>• Support the team by providing insights on deduction trends and contributing to overall operational improvements.</p><p>• Ensure timely and attentive handling of customer inquiries related to deductions and payments.AR - </p>
<p>We are looking for an experienced Accounting Manager to join our team in Vancouver, British Columbia. This long-term contract position offers a unique opportunity to oversee financial operations and contribute to the success of a leading organization. The ideal candidate will bring a strong background in accounting and financial management, along with exceptional leadership skills.</p><p><br></p><p>Responsibilities:</p><p>• Oversee the operations of the Finance and Administration department, ensuring the accuracy of financial reports, variance analyses, and costing metrics.</p><p>• Establish and enforce fiscal control policies, supporting budgeting processes and investigating financial discrepancies.</p><p>• Lead month-end financial reporting activities and ensure data integration with corporate systems.</p><p>• Collaborate with external auditors during annual audits, preparing necessary documentation and ensuring compliance.</p><p>• Develop financial models and business case analyses to support new initiatives and capital investments.</p><p>• Manage the implementation of new finance systems, acting as a subject-matter expert for assigned projects.</p><p>• Supervise teams handling billing, payroll, and accounting, providing mentorship and troubleshooting support.</p><p>• Administer payroll processes for both unionized and non-unionized employees, ensuring compliance with regulations and completing year-end adjustments.</p><p>• Review and update internal control policies, ensuring documentation remains accurate and current.</p><p>• Address finance and administrative inquiries while managing additional projects as required.</p>
<p>This hybrid opportunity is located with a client downtown Toronto, looking to hire an AVP, Finance & Administration. The successful candidate will be responsible for preparing accurate and timely financial information and ensuring the implementation of effective controls within the organization's financial accounting operations. This also role oversees the compilation of financial statements, manages Head Office and regulatory reporting, and supports annual reporting activities. Additional responsibilities include monitoring bank reconciliations, entering and reviewing General Ledger data, maintaining account controls, and handling audit and client confirmation requests. The position requires strong organizational skills, attention to detail, and the ability to uphold high standards of financial integrity. </p><p><br></p><p>Reports to: Director, Finance & Administration</p><p>Direct reports: None</p><p><br></p><p>JOB RESPONSIBILITIES</p><p>• Compile financial statements, conduct Head Office reporting, and produce annual reports.</p><p>• Preparation of annual reports and financial statements, along with supporting external auditors' requests for the yearly audit.</p><p>• Review and monitor bank reconciliations and related reporting activities, ensuring prompt follow-up on any outstanding unreconciled items.</p><p>• Perform and review daily and monthly General Ledger accounting data entry</p><p>• Prepare daily, monthly, and quarterly OSFI and Bank of Canada regulatory returns as directed by the supervisor.</p><p>• Compile monthly inter-office managerial adjustments within the managerial accounting system</p><p>• Gather and prepare annual income and balance sheet information and Ledger supports</p><p>• Enter, review, and update customer master data—including registration, changes, and closure—in the accounting system.</p><p>• Prepare monthly provincial allocations for deposits and loans for tax</p><p>• Perform reconciliation and preparation of the annual T5 Return of Investment Income</p><p>• Prepare unearned loan fee amortization schedules using effective interest rate method</p><p>• Support internal monitoring requests and internal audit requests</p><p>• Maintain all documentation related to reports, manuals, and procedures up to date and ensure compliance with both local and Head Office standards</p><p><br></p><p><br></p>
We are looking for a dedicated Finance Business Partner to join our team in London, Ontario. This role offers a unique opportunity to work within the agriculture industry, contributing to the financial success of multiple entities. The position combines remote work with occasional travel to various sites, ensuring hands-on involvement and collaboration with the regional team.<br><br>Responsibilities:<br>• Prepare and deliver detailed financial presentations to the board, highlighting performance metrics and insights.<br>• Conduct comprehensive financial analyses to support strategic decision-making and operational improvements.<br>• Compile and finalize financial statements in accordance with organizational standards.<br>• Reconcile accounts to ensure accuracy and compliance with financial regulations.<br>• Maintain and update general ledger accounts, overseeing journal entries as required.<br>• Manage month-end close processes to ensure timely and accurate reporting.<br>• Collaborate with site teams to gather financial data and provide actionable recommendations.<br>• Travel to assigned sites as needed to support financial operations and training.<br>• Contribute to the growth and cohesion of the regional accounting team by sharing best practices and insights.
We are looking for an experienced Vendor Management Specialist to join our team in Markham, Ontario. In this role, you will oversee and optimize our vendor relationships, ensuring compliance with our Vendor Management Framework while supporting contract owners throughout the vendor lifecycle. You will play a pivotal role in developing processes, maintaining vendor records, and fostering efficient procurement practices to drive organizational success.<br><br>Responsibilities:<br>• Ensure compliance with the organization's Vendor Management Framework throughout all vendor-related activities.<br>• Provide guidance and support to contract owners during the vendor lifecycle, including procurement, due diligence, contract management, and performance monitoring.<br>• Develop and enhance tools, processes, and systems to streamline vendor management activities.<br>• Maintain and update the vendor register and inventory, ensuring data accuracy and accessibility.<br>• Assist contract owners in evaluating vendor risks and implementing appropriate mitigation strategies.<br>• Facilitate training sessions to improve understanding and application of the Vendor Management Framework.<br>• Generate insights and performance reports to optimize vendor spending and decision-making processes.<br>• Oversee timely contract renewals to ensure uninterrupted service delivery.<br>• Collaborate with business units and subject matter experts to address non-compliance or contract breaches.<br>• Update contract records to reflect vendor offboarding and contract terminations.
<p>Nous recherchons un partenaire financier expérimenté pour rejoindre l'équipe de notre client à Kirkland. Ce rôle essentiel englobe divers aspects de la finance et de la comptabilité, incluant la planification financière, le reporting, la gestion des salaires et avantages sociaux, ainsi que le respect des normes de conformité. Le candidat idéal fera preuve d'autonomie et d'un grand souci du détail, capable de fournir des analyses financières pertinentes tout en collaborant étroitement avec les équipes locales et internationales.</p><p><br></p><p>Responsabilités:</p><p>• Superviser les processus de clôture financière mensuelle, trimestrielle et annuelle pour garantir une précision optimale.</p><p>• Gérer les activités de comptabilité transactionnelle, incluant les comptes clients et fournisseurs, tout en supervisant les prestataires externes.</p><p>• Élaborer et suivre les budgets, prévisions et rapports analytiques pour soutenir les objectifs commerciaux.</p><p>• Assurer la gestion complète des salaires et avantages sociaux, en respectant les réglementations en vigueur.</p><p>• Maintenir la conformité fiscale et les contrôles internes, notamment en lien avec les normes organisationnelles.</p><p>• Collaborer avec les auditeurs internes et externes pour faciliter les processus d'audit.</p><p>• Fournir des analyses financières stratégiques au directeur général et à l'équipe commerciale.</p><p>• Présenter des mises à jour financières lors des réunions du conseil d'administration et des réunions commerciales internationales.</p><p>• Produire des rapports détaillés sur les opérations commerciales, incluant les volumes de vente, les revenus et le fonds de roulement.</p><p>• Garantir l'intégrité et la qualité des rapports destinés à l'organisation centrale.</p>
<p>Nous recherchons un technicien comptable expérimenté pour produire et gérer le cycle complet et les fins de mois de deux sites situés à Québec. Sous la supervision du directeur des finances basé à Montréal, le responsable principal de la comptabilité sera implliqué dans les conciliations, les interco, l'analyse de données comptables pour la fermeture des mois et le contrôle des budgets. Le candidat idéal possédera une expertise du cycle complet et démontrera une capacité à coordonner des processus et effectuer des analyses et réconciliations de comptes complexes tout en assurant la conformité et la fiabilité des informations produites.</p><p><br></p><p>RESPONSABILITÉS:</p><p><br></p><p>• Encadrer et développe le technicie aux comptes à payer;</p><p>• Effectuer les conciliation hebdomadaire et suivre les liquidités;</p><p>• Gérer la facturation et les comptes clients;</p><p>• Produire les fermetures de mois, préparer et analyser les états financiers;</p><p>• Produire les rapports fiscaux et assurer que les sites respectes leurs engagements gouvernementaux;</p><p>• Analyser les comptes du grand livre et procéder aux écritures de régularisations;</p><p>• Participer à l'élaboration et suivi des budgets annuels ainsi qu'à la préparation de la fin d'année financière;</p><p>• Soutenir les initiatives et contribuer à l'optimisation des processus comptables et à l'implémentation de nouveaux outils de gestion;</p><p>• Effectuer toute autres tâches permettant de maintenir une saine gestion financière des sites sous votre responsabilités.</p>
<p>Nous recherchons une personne motivée et organisée pour occuper une poste de commis aux comptes recevables et aux recouvrements chez notre client, à Ste-Anne-De-Bellevue. Ce rôle essentiel implique une gestion rigoureuse des transactions financières et des relations clients, tout en assurant le suivi des paiements et la résolution des litiges. Si vous êtes passionné par la comptabilité et souhaitez contribuer à une équipe dynamique, nous aimerions vous rencontrer.</p><p><br></p><p>Responsabilités:</p><p>• Gérer les transactions financières quotidiennes, incluant la saisie et le suivi des données liées aux comptes recevables.</p><p>• Assurer le recouvrement des comptes en souffrance et maintenir un suivi régulier des comptes courants.</p><p>• Traiter les paiements entrants en respectant les politiques et procédures financières établies.</p><p>• Établir des rapports détaillés sur l'état des comptes débiteurs afin d'assurer une visibilité claire.</p><p>• Préparer les factures et gérer les dépôts bancaires de manière précise.</p><p>• Identifier et résoudre les écarts ou problèmes liés à la facturation des clients.</p><p>• Évaluer les demandes de crédit et fixer des conditions de crédit appropriées pour les clients.</p><p>• Collaborer avec les clients et les équipes internes pour garantir une gestion efficace des compte</p>
<p>Reporting to the Director of Operations Finance, this position will work closely with site leadership to provide financial analysis and analytical support, in tandem with deploying results. The role actively collaborates to drive growth, efficiency, and improve profitability. Responsible for performing weekly, monthly, and yearly deliverables, supporting cross-functional departments in data driven decision-making. </p><p><br></p><p><strong>Key Responsibilities:</strong></p><p>· Prepare weekly reports for facility management, understand financial impacts deriving from operational activities.</p><p>· Responsible for accurate month-end closing activities, financial statement reporting, forecasting and monthly analysis of results to budget, forecast, and prior year. Evaluate variances to understand driving factors, support and making recommendations for actions and improvements.</p><p>· Aid efficiency enhancements through comprehensive analysis of business performance (operational and financial), identifying risks and opportunities, alongside highlighting tendencies.</p><p>· Understand both raw material and product movements throughout, while performing raw material mass balances and yield reporting, aligning to financials. </p><p>· Engage in annual budgeting process with site leadership and provide additional analysis on operational impacts to other facilities and areas of the business.</p><p>· Ensure ERP entries are compliant and consistent, actively review production orders, understand inventory movements, lead product costing, and advise on best practices for various cost accounting tasks. </p><p>· Contribute to implementation of new reporting at the facility and educate applicable department(s) on methodologies.</p><p>· Various ad-hoc reporting and analysis, as required.</p>
<p>Our client is a high-growth technology company headquartered in downtown Vancouver. They are seeking an experienced <strong>Director, Financial Reporting </strong>to join their finance team on a <strong>6-month contract</strong> to support public-company readiness, complex accounting matters, and strategic initiatives.</p><p><br></p><p><strong>Responsibilities:</strong></p><ul><li>Lead preparation and review of quarterly and annual external financial reporting, including financial statements, MD& A, prospectus, and related disclosures</li><li>Own complex IFRS technical accounting matters, including revenue recognition, business combinations, share-based compensation, and financial instruments</li><li>Serve as the primary liaison with external auditors on reporting, technical accounting, and disclosure matters</li><li>Develop and maintain accounting policies, position papers, and technical documentation to support key judgments and estimates</li><li>Support IPO readiness initiatives, including audit readiness, disclosure controls, and ICFR design and implementation</li><li>Build and scale public-company-ready reporting and internal control processes</li><li>Partner with the CFO and finance leadership to prepare materials for the Board, Audit Committee, and prospective investors</li><li>Support investor relations activities, including earnings preparation, investor decks, KPIs, and guidance communication, in partnership with FP& A</li><li>Partner with Corporate Development on M& A due diligence, purchase accounting, and post-acquisition integration</li><li>Collaborate cross-functionally and provide leadership within the finance reporting function, driving quality, accountability, and continuous improvement</li></ul>