<p><strong>Accounts Receivable:</strong></p><ul><li>Review daily payment notifications from the bank and match incoming payments with corresponding invoices.</li><li>Reconcile remittances and clear transactions accurately in the system.</li><li>Escalate complex items to senior AR team members when necessary.</li></ul><p><strong>Accounts Payable:</strong></p><ul><li>Process invoices by scanning signed packing slips from the warehouse and uploading them into the system.</li><li>Conduct monthly vendor reconciliations and resolve discrepancies promptly.</li></ul><p><strong>General Accounting Support:</strong></p><ul><li>Maintain accurate records of all AP and AR activities.</li><li>Communicate effectively with internal teams and vendors to resolve payment issues.</li><li>Take clear and thorough notes during training to ensure smooth and efficient transition into day-to-day responsibilities.</li></ul>
We are looking for a detail-oriented Accountant to join our team on a long-term contract basis in Winnipeg, Manitoba. This position involves managing various accounting functions, including reconciliations, accounts payable, accounts receivable, and financial reporting. The ideal candidate will have a strong background in accounting processes, excellent organizational skills, and a commitment to maintaining accuracy and compliance.<br><br>Responsibilities:<br>• Perform comprehensive bank reconciliations to ensure accurate transaction records and resolve any discrepancies promptly.<br>• Verify and reconcile credit card transactions, addressing any inconsistencies and maintaining proper documentation.<br>• Manage the accounts payable process, including processing invoices, handling vendor relationships, and ensuring timely payments.<br>• Oversee accounts receivable operations, including billing, collections, and payment application to ensure consistent cash flow.<br>• Prepare and distribute client invoices with precision, adhering to company policies and guidelines.<br>• Assist in month-end and year-end closing activities by reconciling accounts and preparing journal entries.<br>• Maintain and update accounting ledgers, schedules, and financial reports in alignment with established standards.<br>• Collaborate with internal teams and external partners to investigate and resolve financial discrepancies.<br>• Conduct routine audits of accounts payable and accounts receivable processes to enhance efficiency and ensure compliance.<br>• Support audit preparations by organizing and verifying financial records for accuracy and completeness.
We are looking for a detail-oriented Accounting Clerk to join our team in Georgetown, Ontario. This position offers an excellent opportunity for someone with a strong foundation in accounting processes who thrives in a dynamic environment. The ideal candidate will support a variety of financial operations, including accounts payable, accounts receivable, and reconciliation tasks while maintaining precision and efficiency.<br><br>Responsibilities:<br>• Manage accounts receivable tasks, including cash receipt posting and assisting with overdue balance collection.<br>• Handle accounts payable processes to ensure timely and accurate payments.<br>• Assist with general ledger account reconciliation and support month-end closing activities.<br>• Review and process employee expense reports with accuracy and attention to detail.<br>• Process credit card transactions and perform corporate credit card reconciliations.<br>• Monitor and manage office supply orders to ensure adequate stock levels.<br>• Perform additional ad hoc duties as required to support the accounting team.
<p>Nous recherchons un gestionnaire FP& A motivé pour superviser les processus financiers liés aux projets d'immobilisations de notre client. Basé à Montréal, ce poste implique une collaboration étroite avec les équipes de projet pour garantir une gestion efficace des budgets, des prévisions et des rapports. Vous serez également responsable de fournir un soutien stratégique en matière de comptabilisation et de conformité aux normes financières.</p><p><br></p><p>Responsabilités:</p><p>• Superviser la création et le découpage des projets afin d'assurer une gestion structurée et conforme aux objectifs financiers.</p><p>• Collaborer avec les responsables de projet pour répartir les budgets, établir les prévisions et suivre les coûts associés.</p><p>• Gérer et approuver les demandes de projet d'immobilisations, en veillant à leur alignement avec les objectifs organisationnels.</p><p>• Analyser les écarts budgétaires et les modifications des projets, tout en garantissant une comptabilisation précise des subventions.</p><p>• Fournir des conseils et des recommandations aux équipes de projet pour optimiser la gestion financière et opérationnelle.</p><p>• Élaborer des outils, indicateurs et rapports financiers afin d'améliorer le suivi budgétaire et la prise de décision.</p><p>• Préparer et présenter des rapports financiers détaillés à la direction et au conseil d'administration.</p><p>• Assurer la traçabilité et la comptabilisation des actifs, incluant leur création, modification ou démolition.</p><p>• Identifier et intégrer les impacts des nouvelles normes comptables sur les projets d'immobilisations.</p><p>• Coordonner la gestion et la comptabilisation des subventions, y compris la préparation et la soumission des réclamations aux organismes subventionnaires.</p>
We are looking for an experienced Controller to oversee and optimize the financial operations of our mining company in Vancouver, British Columbia. This role requires a deep understanding of accounting principles and financial management, combined with industry-specific expertise to support strategic decision-making. The successful candidate will lead a team and ensure compliance with financial regulations while driving operational efficiency.<br><br>Responsibilities:<br>• Prepare and analyze monthly, quarterly, and annual financial statements in accordance with International Financial Reporting Standards (IFRS).<br>• Lead the development and monitoring of budgets and forecasts to improve cost efficiency and overall profitability.<br>• Manage general accounting operations, including general ledger maintenance, accounts payable and receivable, payroll, and tax compliance.<br>• Establish and monitor internal controls to ensure financial accuracy and regulatory compliance.<br>• Oversee audit processes and coordinate with external auditors to meet compliance standards.<br>• Monitor and manage cash flow to align with organizational financial objectives.<br>• Provide leadership and guidance to the accounting team, fostering collaboration and growth.<br>• Deliver strategic financial insights to senior management to support informed decision-making and long-term planning.<br>• Utilize expertise in the mining industry to address sector-specific financial challenges and opportunities.
We are looking for a skilled Accounts Payable Clerk to join our team in Toronto, Ontario. In this role, you will oversee the complete accounts payable process, ensuring timely and accurate management of invoices, expense reports, and payments. Your work will be essential in maintaining vendor relationships and supporting the financial operations of the company.<br><br>Responsibilities:<br>• Process and verify invoices, payment requests, and expense reports in alignment with company policies.<br>• Perform three-way matching to ensure accuracy between purchase orders, invoices, and receiving documents.<br>• Reconcile vendor statements and promptly address any discrepancies.<br>• Monitor account balances and ensure payments are made within agreed terms.<br>• Support month-end closing activities by preparing accruals and financial reports.<br>• Maintain organized and accurate documentation for all accounts payable transactions.<br>• Collaborate with procurement and other departments to resolve invoice and payment-related issues.<br>• Provide necessary records and documentation for internal and external audits.<br>• Identify and suggest improvements to streamline and automate accounts payable processes.
We are looking for an experienced Accounting Manager to lead financial reporting and development accounting for large-scale, mixed-use projects. Based in Toronto, Ontario, this role requires a detail-oriented individual with a strong understanding of accounting systems, budget analysis, and financial processes. The ideal candidate will thrive in a collaborative environment and contribute to process improvements while ensuring compliance with established accounting standards.<br><br>Responsibilities:<br>• Manage monthly and quarterly accounting processes and reporting for large-scale development projects, including overseeing budget variances and the monthly draw process.<br>• Prepare detailed quarterly financial reports, providing analysis of account balances and period-over-period changes to support internal and external disclosures.<br>• Collaborate with property and capital teams to ensure timely approvals and accurate balance sheet reconciliations.<br>• Oversee the accurate and timely completion of all development-related accounting transactions, including transitions to operational accounting.<br>• Implement and maintain accounting policies specific to development accounting, ensuring compliance and accuracy.<br>• Identify opportunities to enhance development accounting processes, recommending and executing improvements while adhering to internal controls.<br>• Ensure all financial documentation and reports meet organizational and regulatory standards.<br>• Support cross-departmental initiatives to streamline processes and improve efficiency.
We are looking for a skilled Accounting Clerk to join our team in North York, Ontario. In this role, you will provide essential support in managing accounting processes, including accounts payable, accounts receivable, and financial statement preparation. This is a fantastic opportunity to work in a dynamic environment with a focus on accuracy and efficiency in financial operations.<br><br>Responsibilities:<br>• Manage accounts payable (AP) and accounts receivable (AR) processes, including invoice processing and payment reconciliation.<br>• Prepare and maintain accurate financial records, including trial balances and financial statements.<br>• Reconcile credit card transactions and ensure timely resolution of discrepancies.<br>• Support inventory and stock management activities, ensuring accurate data entry and reporting.<br>• Utilize Odoo software to streamline accounting and inventory processes.<br>• Assist with billing and collection activities, ensuring timely follow-up on outstanding accounts.<br>• Collaborate with external auditors and year-end accountants to provide necessary documentation.<br>• Maintain accurate records for all financial transactions and ensure compliance with company policies.<br>• Generate periodic reports to support decision-making and financial analysis.<br>• Contribute to process improvements within the accounting and inventory management functions.
We are looking for a detail-oriented Accounts Receivable Clerk to join our team on a contract basis in Cambridge, Ontario. In this role, you will be responsible for managing invoicing, payment reconciliation, and collections while collaborating with a small accounting team. This position offers an excellent opportunity to utilize your expertise in accounts receivable and customer service in a fast-paced environment.<br><br>Responsibilities:<br>• Prepare and distribute invoices for completed projects and parts orders in a timely manner.<br>• Post customer payments, reconcile daily deposits, and maintain accurate financial records.<br>• Track overdue accounts and conduct follow-ups to ensure timely collections, dedicating a significant portion of your time to this task.<br>• Process job orders and coordinate with internal teams to ensure billing accuracy.<br>• Reconcile courier and shipping invoices, assigning them to the appropriate accounts.<br>• Perform general accounting tasks and administrative duties as required.<br>• Enter quotes and follow up with both internal and external customers to maintain workflow.<br>• Utilize multiple software systems, including Sage 50 and Excel, to manage accounting operations effectively.
We are looking for an experienced Accounts Payable Specialist to join our team on a contract basis in Toronto, Ontario. In this role, you will play a crucial part in managing the full-cycle accounts payable process, ensuring accuracy and timeliness in payment operations. This is an excellent opportunity for a detail-oriented individual with strong technical and organizational skills to contribute to a dynamic environment within the healthcare and social assistance industry.<br><br>Responsibilities:<br>• Process and manage the full accounts payable cycle, including invoice verification, coding, and posting.<br>• Reconcile staff expense claims and corporate Visa card transactions while ensuring compliance with company policies.<br>• Verify the accuracy and completeness of payment-related documentation and approvals.<br>• Prepare and execute timely vendor payment runs to maintain positive relationships.<br>• Match purchase orders with receipts and invoices, ensuring proper authorization has been obtained.<br>• Maintain organized and up-to-date records for auditing and reporting purposes.<br>• Address vendor inquiries and resolve discrepancies efficiently and effectively.<br>• Assist with month-end close activities and contribute to financial reporting processes.
We are looking for a detail-oriented Accounts Payable Clerk to join our team on a long-term contract basis in Concord, Ontario. The ideal candidate will play a key role in managing financial transactions, ensuring accuracy, and maintaining compliance with organizational standards. This position offers an excellent opportunity to contribute to both accounts payable and accounts receivable processes while collaborating with internal and external stakeholders.<br><br>Responsibilities:<br>• Process invoices efficiently, including performing 3-way matching of purchase orders, invoices, and receipts.<br>• Monitor and allocate prepaid expenses accurately while tracking prepayments applied to invoices.<br>• Handle reimbursements, refunds, and rebates, ensuring timely and precise processing.<br>• Download and reconcile vendor invoices from online platforms, ensuring accurate documentation and compliance.<br>• Maintain proper coding for transactions and adhere to organizational financial standards.<br>• Follow up with customers regarding outstanding balances, sending reminders and requesting payment commitments.<br>• Manage customer credit by maintaining accurate records and providing necessary documentation.<br>• Assist in reconciling accounts payable and receivable, as well as general ledger accounts.<br>• Ensure timely and accurate account reconciliations to support seamless financial operations.<br>• Collaborate with team members to address discrepancies and improve financial processes.
We are looking for a dedicated Accounts Payable Specialist to join our team on a long-term contract basis in North York, Ontario. In this role, you will handle full-cycle accounts payable tasks, ensuring smooth payment processes and accurate invoice management. This position offers an excellent opportunity to contribute to a dynamic environment with a focus on precision and efficiency.<br><br>Responsibilities:<br>• Manage the full cycle of accounts payable, including invoice processing and payment approvals.<br>• Process pension payments, corporate credit card transactions, and vendor payments accurately and on time.<br>• Code and reconcile invoices while ensuring compliance with company policies and accounting standards.<br>• Handle insurance claims and related payments with attention to detail and accuracy.<br>• Collaborate with vendors to resolve payment discrepancies and maintain positive relationships.<br>• Utilize accounting software, including Great Plains Dynamics, for efficient financial operations.<br>• Ensure timely processing of checks and electronic payments.<br>• Maintain organized records of all accounts payable transactions for audit and reporting purposes.<br>• Identify opportunities for process improvements and implement solutions to enhance efficiency.<br>• Work closely with internal teams to address queries and provide support related to accounts payable.
<p>Notre client recherche un gestionnaire fiscal expérimenté pour rejoindre son équipe dynamique à Montréal. Vous jouerez un rôle clé en supervisant les activités fiscales, en assurant la conformité et en fournissant des conseils stratégiques aux clients. Ce poste offre une occasion unique d'apporter votre expertise dans un environnement collaboratif et stimulant.</p><p><br></p><p>Responsabilités:</p><p>• Superviser la préparation et la révision des déclarations fiscales complexes pour les particuliers et les entreprises.</p><p>• Collaborer avec les clients pour développer des stratégies de planification successorale adaptées à leurs besoins.</p><p>• Gérer les provisions annuelles d'impôt sur le revenu et garantir l'exactitude des rapports fiscaux.</p><p>• Fournir des conseils professionnels sur les questions de fiscalité des sociétés et des entreprises.</p><p>• Identifier les opportunités d'optimisation fiscale tout en respectant les réglementations en vigueur.</p><p>• Former et encadrer les membres de l'équipe pour renforcer leurs compétences en fiscalité.</p><p>• Assurer la conformité des pratiques fiscales avec les lois et règlements locaux et internationaux.</p><p>• Réaliser des analyses approfondies pour résoudre les problèmes fiscaux complexes.</p><p>• Maintenir des relations solides avec les clients en offrant un service exceptionnel.</p><p>• Participer à l'élaboration de politiques fiscales internes et à leur mise en œuvre.</p>
We are looking for a detail-oriented Accounts Receivable Specialist to join our team in Edmonton, Alberta. In this role, you will oversee the accounts receivable process, ensuring timely invoicing, payment collection, and accurate account management. You will play a key role in maintaining client relationships and collaborating with internal teams to optimize financial operations.<br><br>Responsibilities:<br>• Prepare, issue, and distribute accurate customer invoices in accordance with company policies and timelines.<br>• Record and apply client payments, ensuring account records are maintained with precision.<br>• Monitor aging accounts and proactively follow up with clients to address and resolve overdue payments.<br>• Conduct regular account reconciliations to identify and rectify discrepancies in accounts receivable records.<br>• Build and sustain strong client relationships by addressing inquiries and resolving billing disputes.<br>• Collaborate with sales and customer service teams to address billing issues and enhance overall processes.<br>• Evaluate and implement improvements to accounts receivable workflows for increased efficiency and accuracy.<br>• Generate detailed financial reports to assist in monitoring account statuses and trends.<br>• Ensure compliance with financial regulations and company policies in all accounts receivable activities.
We are looking for an experienced Senior Auditor to join our team on a contract basis in Toronto, Ontario. This role focuses on retail credit risk, with a strong emphasis on mortgage-related compliance and regulatory standards. If you have a solid background in auditing within the financial services sector and a keen eye for detail, we encourage you to apply.<br><br>Responsibilities:<br>• Conduct comprehensive audits focusing on retail credit risk, with a particular emphasis on mortgage compliance.<br>• Evaluate and ensure adherence to regulatory standards and organizational policies within the mortgage portfolio.<br>• Analyze and assess credit risk management practices to identify areas for improvement.<br>• Collaborate with stakeholders to address audit findings and recommend actionable solutions.<br>• Prepare detailed audit reports that highlight findings and provide clear recommendations.<br>• Stay updated on changes to regulatory requirements and industry best practices related to retail banking and mortgages.<br>• Assess the effectiveness of internal controls within the mortgage portfolio.<br>• Provide expertise in compliance auditing, ensuring alignment with organizational goals.<br>• Contribute to the development of audit plans and strategies for the retail credit risk domain.
We are looking for a detail-oriented Trade Deductions Analyst to join our team in Markham, Ontario. In this role, you will play a critical part in managing customer deductions, investigating discrepancies, and improving processes to minimize errors. This position requires strong analytical skills, excellent communication abilities, and a proactive approach to problem-solving.<br><br>Responsibilities:<br>• Analyze and process customer deductions, including post audits, for small to moderately sized accounts, ensuring data accuracy and compliance.<br>• Conduct collection calls to address outstanding balances and resolve payment discrepancies.<br>• Investigate and resolve deductions related to short payments, such as shortages, damages, and pricing errors.<br>• Research and address deductions linked to customer fines, collaborating with relevant stakeholders to find solutions.<br>• Engage with customers, brokers, and supervisors to resolve complex issues effectively and efficiently.<br>• Communicate with brokers, clients, and customers to address unauthorized deductions, including requesting repayments and identifying trends to prevent future occurrences.<br>• Drive process improvements to streamline workflows, reduce administrative costs, and minimize deduction volumes.<br>• Utilize sales queries and promotional data to validate and apply deductions accurately in internal systems.
<p>We are looking for an experienced Accounts Payable Clerk to join our team on a contract basis in Shelburne, Ontario. In this role, you will manage high-volume transactions, ensuring accuracy and compliance with company policies. This position is ideal for an organized individual with a strong background in invoice processing and reconciliation and SAP.</p><p><br></p><p>Responsibilities:</p><p>• Process and verify invoices, ensuring accurate coding and compliance with company standards.</p><p>• Perform 3-way matching to validate purchase orders, receipts, and invoices.</p><p>• Review and reconcile accounts to ensure accuracy and resolve discrepancies in a timely manner.</p><p>• Enter high volumes of data into the system with precision and attention to detail.</p><p>• Collaborate with other departments to address and resolve invoice-related issues.</p><p>• Maintain records and documentation for auditing and reporting purposes.</p><p>• Utilize advanced Microsoft Excel and SAP tools to streamline processes and generate reports.</p><p>• Ensure timely payments to vendors while adhering to company policies.</p><p>• Monitor accounts payable aging reports and take corrective actions when necessary.</p><p>• Assist in implementing improvements to accounts payable processes and workflows.</p>
Notre client, une entreprise d’envergure internationale œuvrant dans le secteur des biotechnologies médicales, est à la recherche d’un(e) Commis aux comptes payables pour se joindre à son équipe dynamique et passionnée.<br><br>Sous la supervision du Superviseur des comptes payables, le ou la candidate sélectionné(e) sera responsable d’assurer le traitement efficace des factures et la conformité aux contrôles internes. Il ou elle participera activement à l'amélioration continue des processus de comptabilité fournisseurs. Ce rôle exige une grande capacité à prioriser, une attention soutenue aux détails et un esprit d’équipe collaboratif.<br><br>Pourquoi se joindre à cette équipe ?<br><br>• Entreprise en forte croissance offrant de réelles possibilités d’avancement;<br>• Culture axée sur les employés et leur bien-être;<br>• Flexibilité et télétravail deux jours par semaine;<br>• Salaire compétitif selon l’expérience;<br>• Régime complet d’avantages sociaux hautement concurrentiels;<br>• Programme de congés généreux.<br><br>TÂCHES: <br><br>• Traiter rapidement et avec précision un volume important de transactions, en respectant les politiques et procédures établies par l’entreprise;<br>• Vérifier et classer les relevés mensuels des fournisseurs tout en répondant à leurs différentes demandes;<br>• Assurer la réconciliation des sous-comptes fournisseurs avec le grand livre général;<br>• Gérer et enregistrer les factures fournisseurs, avec ou sans bons de commande (codification GL);<br>• Participer aux activités de clôture mensuelle et annuelle liées à la gestion des comptes fournisseurs;<br>• Identifier des pistes d’amélioration et promouvoir des initiatives d’automatisation des processus internes;<br>• Travailler dans un environnement manufacturier, avec une bonne maîtrise des processus liés à la gestion des stocks, des inventaires et des ajustements;<br>• Gérer efficacement les rapports sur l’état des comptes fournisseurs et résoudre les problèmes avec les fournisseurs ou les équipes internes concernées;<br>• Effectuer, en fin de mois, la conciliation des comptes intercompagnies;<br>• Participer aux différentes étapes de transition et d'intégration des processus de gestion des comptes fournisseurs dans un environnement de centre de services partagés.