We are looking for an experienced Senior Accountant to join our team on a long-term contract basis in Winnipeg, Manitoba. In this role, you will play a key part in overseeing full-cycle accounting operations, financial reporting, and compliance. This position offers an opportunity to work in a dynamic environment while contributing to process improvements and supporting strategic business goals.<br><br>Responsibilities:<br>• Manage all aspects of full-cycle accounting, including journal entries, general ledger updates, accounts payable and receivable, payroll processing, and asset tracking.<br>• Prepare and reconcile balance sheets, subsidiary ledgers, and bank statements to ensure the accuracy of financial records.<br>• Lead monthly, quarterly, and annual financial close processes, ensuring timely preparation of accruals, adjustments, and reports.<br>• Produce detailed financial statements and reports, including profit and loss statements, balance sheets, and cash flow analyses, for management review.<br>• Analyze and optimize cost structures within a manufacturing environment, including job costing, inventory valuation, and expense tracking.<br>• Identify opportunities for process improvements in accounting workflows and collaborate with teams to implement changes.<br>• Ensure adherence to internal controls, accounting standards, and external reporting requirements while supporting audit preparations.<br>• Liaise with external auditors and address any compliance-related queries during audit processes.<br>• Provide insights and recommendations to enhance operational efficiency and financial performance.
We are looking for a detail-oriented Fund Accountant to oversee financial operations for a portfolio of daily priced pooled funds. This role offers an excellent opportunity to develop expertise in fund accounting while working collaboratively with various teams, including portfolio management and operations. The ideal candidate will ensure compliance with regulatory standards and contribute to process improvements within the organization.<br><br>Responsibilities:<br>• Perform daily, weekly, and monthly accounting tasks, including income accruals, expense allocations, and NAV calculations for multi-class pooled funds.<br>• Process and reconcile portfolio transactions such as equity trades, fixed income trades, corporate actions, and derivatives, including foreign exchange and forward contracts.<br>• Reconcile cash and securities positions with custodians and counterparties to maintain accurate financial records.<br>• Validate pricing of securities using approved sources and methodologies to ensure consistency and accuracy.<br>• Monitor cash flow and coordinate with operations teams to ensure proper liquidity management for funds.<br>• Collaborate with compliance, portfolio management, and operations teams to address discrepancies and support fund operations.<br>• Participate in system upgrades, process automation, and initiatives to enhance efficiency and streamline workflows.
<p>We are looking for a skilled and detail-oriented Project Accountant to join our client in Vancouver, British Columbia. In this Contract position, you will play a key role in managing financial operations related to various projects, ensuring accuracy in accounting, budgeting, and reporting. This hybrid role offers a dynamic work environment with opportunities to work both onsite and remotely while collaborating with cross-functional teams.</p><p><br></p><p>Responsibilities:</p><p>• Manage accounting, reporting, and financial functions for capital and revenue-based projects.</p><p>• Develop and maintain financial models in Excel for project cost analysis, scenario planning, and ad hoc reporting.</p><p>• Prepare and submit financial claims for Canadian Government R& D funding programs and review related project contracts.</p><p>• Assist in project bids by performing detailed cost reviews and maintaining financial records in NetSuite and Adaptive systems.</p><p>• Collaborate with program managers to optimize resource allocation and ensure accurate project timesheet management.</p><p>• Support business process analysis and improvements related to project operations.</p><p>• Reconcile purchase orders quarterly and update project labour rates and overhead allocations regularly.</p><p>• Oversee subcontractor invoicing, POs, and payment milestone tracking to ensure timely processing.</p><p>• Work closely with the Programs team to update staffing plans, budgets, and cash flow forecasts.</p><p>• Contribute to month-end close processes by preparing inputs for development costs, R& D allocations, and accruals.</p>
<p>The Cost Accountant will be responsible for analyzing cost data, improving financial performance, and ensuring accurate cost reporting to support business decisions.</p><p><strong>Key Responsibilities:</strong></p><ul><li>Maintain and analyze cost accounting records, systems, and processes</li><li>Prepare cost variance and trend analyses</li><li>Analyze estimated costs within BOMs</li><li>Reconcile perpetual inventory records with general ledger and physical counts</li><li>Ensure accuracy of WIP, scrap, rework, and inventory adjustment transactions</li><li>Identify slow-moving/obsolete items and recommend actions</li><li>Monitor inventory valuation using the weighted average costing method</li><li>Reconcile off-site inventory balances </li><li>Review jobs for accuracy and completeness</li><li>Calculate and regularly update applied DL and OH rates </li><li>Identify cost-saving opportunities and improve efficiencies</li><li>Assist with budgeting, forecasting, and financial planning</li><li>Collaborate with cross-functional teams on financial reporting</li><li>Ensure compliance with accounting principles and company policies</li><li><br></li></ul>
<p>We are seeking a detail-oriented and technically strong Senior Accountant to support our finance team through the upcoming year-end and audit period. The ideal candidate will have solid IFRS experience, a strong understanding of internal controls, and a proven track record in preparing accurate reconciliations and audit documentation.</p><p><br></p><p>Responsibilities:</p><ul><li>Conduct comprehensive balance sheet reconciliations in accordance with IFRS, including reviewing and reconciling over 30 bank accounts.</li><li>Prepare and maintain audit working papers, ensuring accuracy, completeness, and consistency across all supporting documentation.</li><li>Develop and document memos, standard operating procedures (SOPs), and internal control policies for key areas such as prepaids, capital expenditures, and other significant accounts.</li><li>Support the 2024 year-end audit by assisting with audit requests and contributing to the implementation of enhanced internal reporting processes.</li><li>Partner cross-functionally with the finance and operations teams to streamline processes, improve efficiency, and ensure continued compliance with IFRS standards.</li></ul><p><br></p>
● Review coding and post vendor invoices, ensuring accuracy of HST treatment<br>● Reconcile vendor statements to account balances and transactions. <br>● Setup monthly payable accruals to ensure completeness and accuracy<br>● Match invoices and receipts to Purchase Orders (POs)<br>● Prepare bank payment files and schedule payments in line with approvals<br>● Proactively manage and update vendor files, including banking details, ensuring completeness and accuracy<br>Credit Card & Expense Management<br>● Ensure that all credit card holders have submitted their monthly transactions on time. <br>● Record and reconcile credit card transactions on a regular basis<br>● Ensure appropriate HST treatment and supporting documentation for all credit card charges<br>Revenue & Donation Processing<br>● Process bank entries into financial systems<br>● Reconcile donations from donation platforms and bank deposits into financial systems<br>● Support the entry of grant agreements into financial system, as required<br>Banking & Cash <br>● Prepare reconciliations for bank statements & donation platform accounts<br>● Upload banking transactions into financial system to facilitate bank reconciliations<br>● Prepare & create bank payment files, supporting the scheduling of payments in line with the organization’s approval processes<br>● Draft cheques as necessary<br>Reporting & Reconciliation<br>● Prepare weekly cash position report for review by senior finance staff<br>● Support and assist with monthly and year-end reconciliations as required<br><br>Qualifications<br>● Post-secondary education in Accounting, Finance, or a related field<br>● Familiarity with Canadian HST rules & Charity regulations are be strong assets<br>● Familiarity with financial systems (e.g., Oracle Netsuite) and CRMs (e.g. Salesforce) would be preferred<br>● High attention to detail and commitment to data accuracy<br>● Strong Microsoft / Google Office Suite skills<br>● Strong organizational and time-management skills
We are looking for an Intermediate Accountant to join our team on a long-term contract basis in Richmond, British Columbia. In this role, you will contribute to a dynamic environment within the transportation equipment manufacturing industry, assisting with financial processes and project accounting. This position offers a blend of in-office work during the initial training period, followed by occasional on-site presence once established.<br><br>Responsibilities:<br>• Prepare and post journal entries to ensure accurate and timely financial records.<br>• Reconcile bank statements and general ledger accounts to maintain financial accuracy.<br>• Generate and analyze reports using M3 and AMOS software, with training provided as necessary.<br>• Collaborate with customer service officers to coordinate billing and project cost tracking.<br>• Extract and analyze cost information for multiple projects, including multicurrency transactions.<br>• Monitor completed projects to ensure cost accuracy and proper accounting entries.<br>• Support month-end closing activities, including overtime when required.<br>• Assist with auditing and financial statement preparation as needed.<br>• Maintain effective communication within the team to foster collaboration and efficiency.
We are looking for a dedicated and detail-oriented Accountant - Entry Level to join our team in North York, Ontario. In this long-term contract position, you will play a vital role in supporting the accounting department by handling essential financial tasks and ensuring the accuracy of records. This is an excellent opportunity to gain hands-on experience and contribute to the success of a dynamic organization in the construction/contractor industry.<br><br>Responsibilities:<br>• Process accounts payable and accounts receivable transactions while maintaining accuracy and efficiency.<br>• Perform data entry for financial records, ensuring all transactions are properly documented in accounting systems.<br>• Assist in reviewing billing files and implementing rent adjustments as needed.<br>• Prepare and post monthly recurring journal entries, including payroll, accruals, and prepaid expenses.<br>• Conduct monthly reconciliations for bank accounts and credit card statements.<br>• Support the preparation of year-end accounting files for audit purposes.<br>• Maintain and reconcile accounts receivable aging reports, including posting receipt batches in Yardi.<br>• Utilize accounting software to ensure accurate coding of transactions and updates to financial records.<br>• Collaborate with team members to address additional accounting-related tasks as required.
We are looking for a skilled Financial Accountant to join our team in Burnaby, British Columbia. In this role, you will be responsible for managing a range of accounting functions to ensure financial accuracy, compliance, and efficiency. This is an excellent opportunity for an organized individual with strong analytical skills and a passion for numbers.<br><br>Responsibilities:<br>• Prepare and maintain monthly journal entries, ensuring all documentation is accurate and supported by relevant working papers.<br>• Conduct thorough variance analysis of financial statements on a monthly, quarterly, and annual basis across multiple entities.<br>• Implement and monitor control procedures to ensure adherence to global compliance programs.<br>• Reconcile balance sheet accounts regularly to maintain financial accuracy and integrity.<br>• Compile and submit statutory compliance reports in a timely manner.
We are looking for a detail-oriented Accountant to join our team in North York, Ontario. The ideal candidate will have a strong background in accounting practices, including managing accounts payable, accounts receivable, and reconciling financial accounts. This role requires excellent organizational skills, proficiency with accounting software, and a commitment to maintaining accuracy in financial records.<br><br>Responsibilities:<br>• Process accounts payable and accounts receivable transactions efficiently and accurately.<br>• Perform account reconciliations to ensure financial records are consistent and reliable.<br>• Manage billing operations and verify invoices for accuracy before submission.<br>• Enter financial data into accounting systems while maintaining precision and attention to detail.<br>• Handle invoice processing tasks, including coding and verification.<br>• Utilize accounting software such as QuickBooks, SAP, and Oracle to manage financial tasks.<br>• Generate financial reports using Microsoft Excel for internal and external stakeholders.<br>• Ensure compliance with company policies and accounting standards during all operations.<br>• Collaborate with team members to resolve discrepancies and improve workflows.<br>• Maintain organized documentation of all financial transactions and audits.
We are looking for a Senior Accountant to join our team in Winnipeg, Manitoba. This role focuses on financial management and analysis, supporting the organization’s operations with precise and timely financial reporting. If you are an experienced accountant with a strong understanding of reconciliations, month-end processes, and funding in a non-profit setting, we encourage you to apply.<br><br>Responsibilities:<br>• Prepare accurate and comprehensive financial statements in compliance with applicable standards.<br>• Perform reconciliations for accounts, balance sheets, and bank statements to ensure financial accuracy.<br>• Manage month-end and year-end closing processes, including journal entries and general ledger updates.<br>• Analyze financial data to provide insights and recommendations for decision-making.<br>• Oversee funding processes specific to non-profit organizations, ensuring proper allocation and reporting.<br>• Handle accounts payable and receivable functions with a focus on efficiency and accuracy.<br>• Maintain compliance with government remittances and regulatory requirements.<br>• Utilize Excel and Great Plains Dynamics for financial operations and reporting.<br>• Collaborate with internal and external stakeholders to support audits and financial reviews.<br>• Monitor and improve financial workflows to enhance organizational performance.
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.
<p>Robert Half is working with a respected client seeking an Intermediate Accountant to join their growing organization. This is an excellent opportunity for a skilled finance professional ready to expand their career in an inclusive and professional work environment that emphasizes integrity and excellence.</p><p><br></p><p>Key Responsibilities:</p><p><br></p><ul><li>Prepare and maintain general ledger entries</li><li>Assist with month-end and year-end closing processes, including reconciliations and financial reporting</li><li>Analyze financial data to identify trends, variances, and discrepancies, proposing corrective actions as necessary</li><li>Support the preparation of budgets and forecasts, collaborating with cross-functional teams to provide valuable insights</li><li>Manage accounts payable and accounts receivable cycles, ensuring timely processing and resolution of issues</li><li>Assist with financial audits, liaising with external auditors to provide required documentation</li><li>Maintain accurate records and documentation to ensure compliance with company policies and regulatory requirements</li></ul>
<p>We’re seeking a detail-oriented and proactive <strong>Accountant</strong> to join our team in Vaughan, Ontario. This role is perfect for someone with a solid understanding of accounting principles who thrives in a collaborative environment but can also work independently. If delivering accurate financial results and maintaining organized financial records excites you, we’d love to hear from you!</p><p><br></p><p><strong>Key Responsibilities</strong>:</p><ul><li>Manage and ensure accuracy in accounts payable (AP) and accounts receivable (AR) processes.</li><li>Handle invoicing and billing activities with precision and timeliness.</li><li>Perform month-end closing tasks, such as preparing and posting journal entries.</li><li>Reconcile accounts to maintain accurate and up-to-date financial records, resolving any discrepancies.</li><li>Efficiently transfer and manage data using accounting systems and imported files.</li><li>Assist with accrual accounting to ensure accurate and transparent financial reports.</li><li>Work closely with team members to support accounting initiatives and general operations.</li><li>Use basic Microsoft Excel skills for financial reporting and data analysis.</li></ul><p><br></p>
<p>We are seeking a <strong>Staff Accountant</strong> to join our team and support the Manager of Accounting in a fast-paced and growing environment. This role involves managing key financial tasks, ensuring accurate reporting, and supporting smooth accounting operations. If you are detail-oriented and eager to contribute to the organization’s success, this position is for you!</p><p><br></p><p><strong>Key Responsibilities</strong>:</p><ul><li>Prepare and post monthly journal entries and reconcile balance sheets during month-end closings.</li><li>Manage accounts receivable and payables, overseeing vendor payments, online bill payments, and rent disbursements.</li><li>Review and process expense reports for executives and senior leadership for accuracy and compliance.</li><li>Ensure cash and credit card deposit records are organized and tracked efficiently.</li><li>Collaborate with shop employees to balance daily cash operations and improve processes as needed.</li><li>Assist with posting monthly duties and tariffs invoices promptly and accurately.</li><li>Help prepare and submit monthly sales tax returns.</li><li>Review lease data regularly to ensure accuracy and completeness.</li><li>Support the implementation and management of lease administration and accounting systems, taking the lead when needed.</li></ul><p><br></p>
<p>Are you ready to take the next step in your accounting career? Join a dynamic, growth-oriented organization that manages multiple entities and offers strong exposure across different areas of accounting. You’ll work directly with a team of experienced CPAs who are passionate about mentorship, continuous learning, and helping you develop into a well-rounded accounting professional.</p><p><br></p><p>This is an ideal role for someone who enjoys variety, thrives in a collaborative environment, and wants to build a long-term career in accounting and finance.</p><p><br></p><p>What You’ll Do</p><ul><li>Manage full-cycle accounting for multiple entities — including journal entries, reconciliations, and month-end close.</li><li>Assist with financial statement preparation, variance analysis, and projects.</li><li>Identify process improvements and contribute to efficiency initiatives across the accounting function.</li><li>Collaborate with operations and finance teams to ensure timely and accurate financial reporting.</li></ul>
<p>We are looking for a skilled Senior Accountant to join our team on a contract basis in Langley, British Columbia. In this role, you will play a pivotal part in month-end and quarter-end close within a manufacturing environment, ensuring accurate updates and reconciliations. This position offers a unique opportunity to collaborate with a dynamic team and make a meaningful impact within a tight timeline.</p><p><br></p><p>Responsibilities:</p><p><br></p><ul><li>Assist in performing month-end close processes, including preparing and posting journal entries to ensure the financial records are accurate and complete </li><li>Complete balance sheet account reconciliations, identifying discrepancies and performing necessary adjustments </li><li>Conduct variance analysis to assess financial performance and investigate anomalies or discrepancies </li><li>Prepare and adjust journal entries to align financial statements with company policies and accounting standards </li><li>Handle other assigned month-end duties to ensure timely and accurate reporting, adhering to established protocols and deadlines </li></ul><p><br></p>
<p>Robert Half is partnered with a boutique law firm who is in search of an Accountant to join their growing team. This is a full time permanent position located in the Halton Hills area. The Accountant will be responsible for the day-to-day financial operations of the firm, including billing, trust accounting, payroll, budgeting, and financial reporting. This role requires a solid understanding of legal accounting principles and trust compliance, along with the ability to work independently in a fast-paced legal environment.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Maintain accurate records for client trust accounts and perform monthly reconciliations for trust and operating accounts</li><li>Process client billing, including time entry audits, invoice generation, and follow-ups</li><li>Manage accounts receivable and assist in collections as needed</li><li>Process accounts payable and prepare payments for vendors </li><li>Manage employee expenses </li><li>Support in preparing monthly, quarterly, and annual financial statements</li><li>Track budgets, forecast expenses, and provide financial insights to firm leadership</li><li>Administer payroll for the office employees</li><li>Work with external CPA or tax preparer to ensure timely filing of all tax documents</li><li>Maintain organized financial records for audit or review</li></ul><p><br></p><p><br></p>
<p>We are looking for an Intermediate Accountant to join our clients team on a long-term contract basis. This fully remote role offers an excellent opportunity to contribute to financial operations and support reconciliation processes. Based in Surrey, British Columbia, you will collaborate with senior accountants and the treasury team to ensure the accuracy and efficiency of financial processes.</p><p><br></p><p>Responsibilities:</p><p>• Perform detailed reconciliations for multiple cash and bank accounts, ensuring accuracy and compliance.</p><p>• Manage credit card reconciliations and audit employee accounts for discrepancies.</p><p>• Prepare financial reports related to procurement and allocations for accounts payable processing.</p><p>• Utilize advanced Excel functions, such as pivot tables, to analyze financial data and streamline reporting.</p><p>• Conduct journal entry uploads into financial systems, including adjustments based on budget true-ups.</p><p>• Collaborate with the treasury team to oversee cash management processes and resolve any issues.</p><p>• Support month-end close activities, ensuring timely and accurate reporting.</p><p>• Address ad hoc accounting tasks and provide solutions for unique financial challenges.</p><p>• Leverage Oracle Fusion software to manage robust accounting and reconciliation functions.</p>
<p>Our National client in the property management industry, is seeking a Retail Property Accountant for their dynamic team. Reporting to the Controller, the Property Accountant will be responsible for a complex retail portfolio. The Retail Property Accountant's include the preparation of annual CAM, recoveries, account reconciliations, budgeting and forecasting for a complex portfolio</p><p><br></p><p><br></p>
<p>We are looking for a detail-oriented Accounting Analyst to join our team in Markham, Ontario. In this role, you will analyze financial data, prepare accurate reports, and contribute to various accounting functions to support business decisions. This position is ideal for someone with strong accounting and analytical skills and a passion for delivering high-quality financial insights.</p><p><br></p><p>Responsibilities:</p><p>• Accounting closing activities and variance analysis. </p><p>• Inventory - reporting, reconciliation and tracking.</p><p>• Fixed Asset - reporting, reconciliation and tracking.</p><p>• Managing Intercompany transactions and reconciliations. </p><p>• Prepare and analyze monthly, quarterly and annual journal entries, financial reports, balance sheet reconciliations and audit schedules. </p><p>• Assist with creation of forecasts and business plan. </p><p>• Financial analysis on company spending and costing (fixed assets/inventory/direct costs/overhead).</p>
<p>Are you a detail-driven accounting professional with expertise in payroll and financial reporting? Are you seeking a dynamic role in Mississauga that offers both growth potential and a collaborative work environment? If so, our client is actively seeking an experienced Bookkeeper/Accountant to join their team!</p><p>About the Company</p><p>Our client is a well-established business located in Mississauga. They are seeking a dedicated accounting professional to play a key role in maintaining accurate financial processes and ensuring compliance with regulatory standards.</p><p>Key Responsibilities:</p><ul><li><strong>Payroll Administration:</strong> Accurately manage weekly payroll for up to 10 employees, including T4 preparation and payroll remittances.</li><li><strong>Accounts Payable/Receivable:</strong> Oversee AP/AR processes to ensure timely and accurate payment to vendors and collection of receivables.</li><li><strong>Reconciliations:</strong> Reconcile bank accounts and general ledger balances on a monthly basis.</li><li><strong>Financial Reporting:</strong> Prepare comprehensive monthly financial statements, including income statements and balance sheets.</li><li><strong>Audit Readiness:</strong> Maintain financial records that are audit-ready up to the trial balance stage.</li><li><strong>Budget and Forecasting:</strong> Generate and analyze financial reports to provide actionable insights for budgeting and forecasting purposes.</li><li><strong>Year-End Compliance:</strong> Collaborate with auditors to ensure compliance with accounting standards during the year-end process.</li><li><strong>Software Proficiency:</strong> Utilize Sage accounting software to maintain accurate financial records and optimize workflows.</li><li><strong>Inventory Management:</strong> Monitor and reconcile inventory to ensure accuracy and proper accounting treatment.</li><li><strong>Detail-Oriented Tasks:</strong> Maintain the highest attention to detail in all financial documentation and reporting processes.</li></ul><p><br></p>
<p>Due to growth, our client East of Ottawa is seeking a Senior Accountant Reporting to the Controller, the Accountant is responsible for ensuring accurate and timely monthly closing and reporting of the Company’s financial results. The Accountant will also work closely with the Operations Team for lease negotiations and renewals, tracking construction costs, managing construction financing and accurate billing of common area costs.</p><p><br></p><p><strong>This is a fully on site role one hour East of Ottawa.</strong></p><p><br></p><p><strong>Responsibilities:</strong></p><p>-Providing timely and accurate information to Company leaders, including analysis, forecasting and preparation of monthly, quarterly, and annual financial reports.</p><p>-Undertaking variance analysis to ensure a clear understanding of financial results.</p><p>-Calculating quarterly bank covenants.</p><p>-Understanding financing arrangements.</p><p>-Ensuring that rents are collected in a timely manner.</p><p>-Ensuring and developing internal controls and Standard Operating Procedures are updated on a timely manner.</p><p>-Preparing all year end working papers are completed for the company’s year end audit.</p><p>-Developing and reporting on Key Performance Indicators for the business.</p><p>-Quarterly Balance Sheet reconciliations.</p><p>-Ensuring all lease documentation is in place and updating the Master Lease schedules and Lease summary documentation.</p><p>-Ensuring that all HST, Income taxes and other statutory filings are completed and remitted on time.</p><p>-Reconciling & Invoicing Intercompany balances, including Rent, CAM and Insurance.</p><p>-Partnering with business departments to define measure, analyze, improve and control current processes which impact customer quality and influence internal operating efficiency.</p><p>-Providing strategic analysis, as required, to drive improved decision making.</p><p>-Working with external auditors and government auditors.</p><p>-General accounting duties to support the accounting function of the Company, covering for other Accountants when required.</p><p>-Other related duties as required or assigned.</p><p><br></p><p><br></p>
<p>Are you an experienced accounting professional seeking the next step in your career? Robert Half is working with a reputable client to find a Senior Accounting Analyst who thrives in a collaborative and supportive environment. If you are currently pursuing or have earned your CPA designation and have strong analytical skills along with a deep understanding of accounting principles, this opportunity could be the perfect fit.</p><p><br></p><p>Key Responsibilities</p><p><br></p><ul><li>Prepare and review financial reports</li><li>Handle month-end and year-end close processes, including preparing journal entries and account reconciliations</li><li>Provide in-depth financial analysis to support decision-making and strategic planning</li><li>Collaborate with cross-functional teams to identify process improvement opportunities and implement solutions</li><li>Assist with the preparation of budgets, forecasts, and variance analyses</li><li>Support internal and external audit processes, ensuring timely and accurate delivery of requested documentation</li><li>Champion best practices for reporting, data integrity, and financial compliance</li></ul>
We are looking for a talented Accounting Specialist to join our team in Ottawa, Ontario. In this long-term contract role, you will play a vital role in managing day-to-day accounting activities, ensuring accuracy, and maintaining compliance with financial regulations. This opportunity is ideal for someone with a strong background in accounts payable, accounts receivable, and payroll, as well as expertise in accounting software systems.<br><br>Responsibilities:<br>• Process and reconcile accounts payable and accounts receivable transactions with accuracy and efficiency.<br>• Match, batch, code, and approve invoices while adhering to company policies and procedures.<br>• Manage billing operations and ensure timely and accurate invoicing to clients.<br>• Oversee payroll processing, including payment calculations and compliance with applicable regulations.<br>• Utilize ERP systems, such as Business Central, to manage financial data and reporting.<br>• Prepare and maintain detailed financial records, ensuring compliance with accounting standards.<br>• Handle payment processing activities, including vendor payments and expense reimbursements.<br>• Collaborate with internal teams to resolve discrepancies and improve accounting workflows.<br>• Conduct regular audits to ensure data accuracy and identify areas for process improvement.