<p>Notre client recherche un Contrôleur virtuel pour rejoindre son équipe. Ce poste est situé à Brossard, Québec. En tant que Contrôleur virtuel, vous aurez la responsabilité de gérer un portefeuille diversifié de clients, de superviser les cycles comptables complets et de proposer des conseils stratégiques adaptés aux besoins spécifiques de chaque client.</p><p><br></p><p>Responsabilités :</p><p>• Gérer la comptabilité quotidienne d'un portefeuille de clients, en optimisant l'utilisation de nos systèmes automatisés</p><p>• Préparer les rapports financiers nécessaires à la gestion de l'entreprise pour faciliter la prise de décision éclairée par les clients</p><p>• Agir en tant que point de contact pour les clients d'affaires dans l'analyse de leurs rapports financiers, ainsi que dans leurs divers besoins comptables</p><p>• Soutenir les clients dans la réalisation de leurs projets de croissance</p><p>• Soutenir les collègues en comptabilité dans leur développement et les aider à surmonter leurs défis quotidiens</p><p>• Traiter les demandes de crédit des clients avec précision et efficacité</p><p>• Maintenir un dossier de crédit client précis</p><p>• Assurer la conciliation des comptes.</p>
<p>Due to a retirement, our downtown client is seeking an experienced Director of Finance to lead financial operations and accounting services for their respected organization based in Ottawa, Ontario. This role involves overseeing a skilled accounting team, collaborating with international partners, and ensuring compliance with regulatory and organizational standards. The ideal candidate will excel in strategic planning, financial management, and team leadership.</p><p><br></p><p><strong>Responsibilities:</strong></p><p>• Provide strategic financial guidance to leadership teams, enabling informed decision-making and alignment with organizational goals.</p><p>• Develop and manage comprehensive budgets, consolidate financial data, and deliver accurate forecasts for internal and external stakeholders.</p><p>• Oversee cash flow management, fund transfers, and investment strategies while ensuring regulatory compliance.</p><p>• Establish and maintain robust internal controls, ensuring accuracy and compliance in all accounting operations.</p><p>• Supervise the preparation of financial statements, coordinate audits, and ensure adherence to reporting standards.</p><p>• Lead and mentor the accounting team, fostering growth and conducting performance evaluations.</p><p>• Collaborate with international and local treasurers, providing training and support to enhance financial capabilities.</p><p>• Ensure compliance with tax regulations, charitable organization requirements, and Canon Law, preparing necessary reports and filings.</p><p>• Participate in committees and special projects, contributing to organizational strategies and initiatives.</p><p>• Support the management of legacies, wills, and other financial matters as needed.</p>
<p><strong>Join our Client as a Strategic Finance Leader and Make a Difference!</strong></p><p><br></p><p>Are you ready to lead, innovate, and contribute to a more sustainable future? Our Niagara Region client is a growing company with a reputation as a global leader in the industry, with hundreds of completed projects built worldwide. With a strong North American presence and a global brand, this is an exciting opportunity to join a dynamic organization.</p><p><br></p><p><strong>Why Join our Client?</strong></p><ul><li><strong>Collaborate for Impact: </strong>Be part of a team advancing sustainability across North America and across the globe.</li><li><strong>Work Smarter, Together: </strong>Thrive in an empowering, supportive, and rewarding culture.</li><li><strong>Professional Growth: </strong>Contribute meaningfully and continuously sharpen your expertise as part of a leading global organization.</li></ul><p>Reporting directly to the President in this newly-created position, the <strong>Director of Finance </strong>is a visionary leader who will shape financial strategies, optimize systems, and deliver actionable insights that drive organizational success.</p><p><br></p><p><strong>Impactful Responsibilities</strong></p><p><strong>As Director of Finance, you will:</strong></p><ul><li><strong>Guide with Purpose: </strong>Inspire and direct the Finance team, fostering accountability and development.</li><li><strong>Steer Strategic Growth:</strong> Partner with Senior Leadership to align financial strategy with organizational goals.</li><li><strong>Streamline Financial Operations: </strong>Enhance ERP systems and reporting tools to bolster real-time decision-making.</li><li><strong>Deliver Excellence: </strong>Review and produce accurate monthly, quarterly, and annual financial statements in compliance with Canadian and U.S. GAAP.</li><li><strong>Collaborate Globally:</strong> Work closely with international counterparts on consolidated statements and multi-currency transactions.</li><li><strong>Lead Tax Compliance:</strong> Oversee Canadian and U.S. tax compliance while managing external accounting relationships for annual filings.</li><li><strong>Optimize Cash Flow:</strong> Manage cash, FOREX transactions, and financing strategies for capital planning success.</li><li><strong>Mitigate Risks:</strong> Supervise insurance policies and develop risk management frameworks to protect growth and innovation.</li><li><strong>Focus on Projects:</strong> Provide financial insights for construction-based initiatives and high-level project management.</li></ul><p><strong>Why You'll Love Working Here</strong></p><p>Our Client values flexibility, fairness, and positivity. Being onsite at the Canadian Head Office provides the opportunity to be part of a collaborative team, working closely with the President and Senior Leadership Team daily. You'll thrive in an atmosphere that champions innovation, teamwork, and long-term growth.</p><p><br></p><p>Are you ready to lead with impact and grow your career at a company that’s building a better future? Apply today and join a culture that rewards your efforts!</p><p><br></p>
<p>Notre client est à la recherche d'un contrôleur financier pour rejoindre son équipe dynamique et jouer un rôle clé dans la gestion des finances de notre organisation. En tant que membre essentiel de l'équipe, vous superviserez les opérations comptables, assurerez la conformité réglementaire et contribuerez activement à l'amélioration continue des processus financiers. Ce poste est une occasion unique de mettre vos compétences en comptabilité et en analyse au service de projets stratégiques.</p><p><br></p><p>Responsabilités :</p><p>• Superviser les activités comptables, incluant la gestion des comptes fournisseurs, des comptes clients, de l'inventaire et de la paie.</p><p>• Effectuer les clôtures mensuelles et annuelles, tout en produisant des états financiers précis et dans les délais impartis.</p><p>• Assurer la conformité fiscale et réglementaire en collaboration avec des partenaires externes.</p><p>• Élaborer et documenter des politiques comptables et des processus opérationnels tout en renforçant les contrôles internes.</p><p>• Mettre en œuvre des analyses financières et des indicateurs de performance clés pour guider les décisions stratégiques.</p><p>• Coordonner la planification budgétaire et les prévisions financières, analyser les écarts et proposer des recommandations.</p><p>• Favoriser une culture d'amélioration continue au sein du département des finances et de l'administration.</p><p>• Participer activement aux initiatives de l'organisation et offrir un soutien à l'équipe pour diverses tâches connexes.</p>
<p>Vous souhaitez évoluer au sein d’une entreprise en pleine expansion, où l’entraide, le développement des compétences et le bien-être des employés sont au cœur de la culture d’entreprise ? Ce poste est fait pour vous ! En tant que Contrôleur, vous jouerez un rôle clé dans la gestion financière et le suivi des performances.</p><p><br></p><p>Si vous recherchez un poste enrichissant dans un environnement dynamique, où votre voix compte et où vous pourrez grandir professionnellement, postulez dès aujourd’hui ! Pourquoi nous rejoindre ?</p><p><br></p><p>• Une entreprise en pleine croissance : Acteur majeur du secteur de la construction, nous évoluons rapidement et offrons des perspectives de carrière stimulantes.</p><p>• Une équipe multiculturelle et bienveillante : Nous valorisons la diversité et encourageons l’échange et l’apprentissage entre collègues.</p><p>• Un environnement de travail exceptionnel : Des bureaux modernes et conviviaux, une direction à l’écoute et une communication fluide à tous les niveaux.</p><p>• Un encadrement de qualité : Vous serez accompagné(e) par une directrice expérimentée, passionnée par le partage de ses connaissances.</p><p>• Une flexibilité qui s’adapte à votre rythme : Télétravail possible 3 jours par semaine.</p><p><br></p><p>TÂCHES : </p><ul><li>Produire des rapports financiers mensuels, trimestriels et annuels en respectant les attentes des parties prenantes.</li><li>Participer à l'élaboration et à la finalisation du budget annuel.</li><li>Superviser les processus comptables (créances, dettes, paie) et assurer l'intégrité des données financières.</li><li>Maintenir à jour et vérifier l'exactitude des registres comptables selon les normes et règles en vigueur.</li><li>Traiter les transactions financières et produire les rapports correspondants.</li><li>Garantir le respect des réglementations fiscales et normes comptables.</li><li>Effectuer les ajustements mensuels et annuels pour refléter fidèlement les comptes.</li><li>Préparer bilans, états financiers, flux de trésorerie et budgets prévisionnels.</li><li>Gérer les déclarations fiscales et veiller au respect des délais.</li><li>Effectuer des analyses financières pour optimiser les performances et guider les décisions stratégiques.</li><li>Superviser la gestion des assurances collectives des employés.</li><li>Coordonner la production et l'envoi des documents fiscaux de fin d'année.</li><li>Préparer les dossiers pour la vérification externe et collaborer avec les auditeurs.</li><li>Optimiser les outils et processus comptables et administratifs.</li><li>Analyser les écarts financiers et proposer des recommandations stratégiques.</li><li>Manager et superviser les équipes clients-fournisseurs et techniciens en comptabilité.</li><li>Veiller à l'application des politiques et procédures internes.</li></ul><p><br></p>
<p>Nous recherchons un Contrôleur adjoint pour rejoindre l'équipe de notre client situé dans le secteur de l'Ile d'Orléans. Sous la supervision du contrôleur l'Assistant-contrôleur est un expert du cycle complet, il traite les comptes à payer, apporte son soutien au responsable de la paie et participe aux différentes étapes menant à l'établissement des états financiers incluant la vérification de la conformité des dossiers des divers projets en cours. Pour avoir du succ`s dans ce poste il faut avoir occupé un rôle de technicien comptable responsable du cycle complet pendant quelques années. Il faut avoir eux la responsabilité de traiter les paies et connaître les principes de démarcations des revenus. </p><p><br></p><p>RESPONSABILITÉS:</p><p><br></p><p>• Gérer de manière autonome les comptes payables, y compris la saisie et la validation des factures et les paiements;</p><p>• Soutenir le contrôleur dans la préparation des fins de mois, des fins d'année et des conciliations bancaires;</p><p>• Assurer le suivi et le respect des TPS/TVQ et DAS;</p><p>• Participer à la gestion de la paie;</p><p>• Aider l'équipe de comptabilité dans d'autres activités au besoin, par exemple les comptes recevables;</p><p>• Utiliser des tableaux croisés dynamiques pour optimiser le traitement des données;</p><p>• Gérer les amortissements et les provisions avec précision;</p><p>• Assurer une réconciliation précise des comptes;</p><p>• Soutenir le contrôleur dans la clôture de fin de mois et dans le dossier de fin d'année financières.</p>
<p>Robert Half is working with a growing business located in Downtown Vancouver to help identify a new Accounting Manager. Reporting to the Controller with dotted line reporting to the parent, investment company, the Accounting Manager will play a significant role in developing the scalability of the businesses finance functions while ensuring the day-to-day accounting is accurate and timely. The Accounting Manager will take ownership of the accounting function, spearheading the development of robust policies, procedures, and internal controls. The successful candidate will also manage and streamline the month-end close process to ensure timely and accurate financial reporting.</p><p><br></p><p>Key responsibilities would include:</p><p><br></p><ul><li>Own the month-end close process, including preparation and review of journal entries, reconciliations, and financial statements</li><li>Monthly management reporting for operational and executive leadership</li><li> Participation in budgeting and forecasting in partnership with the Controller</li><li>Ad hoc financial and variance analysis</li><li>Build and implement accounting policies and standards to ensure compliance with GAAP and other regulatory requirements</li><li>Design and implement effective internal controls to safeguard company assets and ensure accurate financial reporting</li><li>Evaluate existing accounting processes and recommend improvements for efficiency and scalability</li><li>Serve as the primary liaison for external audits, handling documentation and addressing auditor requests</li><li>Provide leadership and guidance to junior accounting staff, fostering professional development and maintaining a high-performance team</li><li>Support Finance Department initiatives, such as software and systems implementation and other departmental or firm-wide improvements, with research, planning, and implementation, as required</li></ul>
<p><strong>THE ROLE:</strong></p><p>Our client is seeking an experienced Tax Manager for a three-month contract to support key tax compliance and strategic tax initiatives. In this role, you will draw on your expertise to manage complex taxation projects that include:</p><ul><li>Overseeing state tax compliance, including sales tax, income tax, property tax, franchise tax, and gross receipts tax.</li><li>Preparing and reviewing year-end tax schedules for corporate reporting, ensuring compliance with U.S. tax regulations, including provisions and transfer pricing.</li><li>Providing leadership in tax forecasting, liability analysis, and cross-border transaction strategies, including withholding requirements for entities operating outside the U.S.</li><li>Contributing to tax restructuring initiatives, such as tax pool reorganization and debt restructuring, and supporting integration across multiple operating entities.</li><li>Conducting tax research as necessary and assisting with licensing agreements to ensure compliance with current U.S. tax laws and regulations.</li></ul><p>You will play a key role in driving forward tax planning and compliance efforts while the organization finalizes its mid-year and Q3 financial objectives.</p><p><strong>ABOUT YOU:</strong></p><p>You are a results-driven tax professional with a demonstrated history of success managing highly complex tax issues. You have broad knowledge of U.S. tax compliance and a proven ability to implement strategies for improving tax efficiency while meeting all regulatory requirements. You thrive in dynamic, deadline-driven environments and excel at problem-solving, strategic planning, and collaboration across teams.</p><p><strong>WHAT'S ON OFFER?</strong></p><p>Join our client's team, earn a competitive wage, make a significant impact to the company, contribute to the growth of the organization, and enhance your professional experience. If you're looking to join a collaborative finance team, lead and develop others then please apply today for immediate consideration! Join the team and be part of the journey towards success.</p>
<p>Robert Half Ottawa is currently partnering with a client who is looking for a dedicated Director/Manager of Financial Reporting to lead the preparation and review of internal and external financial reports in compliance with industry standards. This role is integral to ensuring accurate and timely financial disclosures, guiding technical accounting practices, and collaborating with auditors. The ideal candidate will also drive improvements in processes and policies to maintain the highest standards of financial reporting.</p><p><br></p><p><strong>Responsibilities:</strong></p><p>• Oversee the preparation and consolidation of financial statements, ensuring full compliance with applicable accounting standards.</p><p>• Analyze and review financial disclosures to meet regulatory and reporting requirements.</p><p>• Lead the establishment and maintenance of company accounting policies, ensuring alignment with current standards and evaluating their impacts.</p><p>• Manage month-end and quarter-end close processes to deliver accurate and timely financial reports.</p><p>• Direct the annual budgeting and quarterly forecasting processes to support strategic planning.</p><p>• Prepare and present financial data to senior leadership, the board of directors, and other stakeholders.</p><p>• Provide expert technical accounting guidance for complex issues, such as revenue recognition and asset impairments.</p><p>• Collaborate with external auditors during interim reviews and year-end audits to ensure smooth processes.</p><p>• Develop and enhance processes and controls to maintain the quality and integrity of financial reporting.</p><p>• Partner with cross-functional teams to ensure transparency and alignment in financial operations.</p>
<p>We are currently hiring an Accounting Manager on behalf of a well-established professional services firm in downtown Vancouver. This is an excellent opportunity for an experienced accounting professional who thrives in a collaborative, client-focused environment and enjoys leading a team while remaining hands-on with accounting operations.</p><p><br></p><p><strong>About the Role: </strong>As the Accounting Manager, you will play a key role in overseeing day-to-day accounting functions for a diverse portfolio of clients, supporting a team of staff accountants, and ensuring accurate, timely financial reporting. This role combines leadership, mentorship, and technical accounting responsibilities, with exposure to public companies and external audit processes.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Supervise and mentor staff accountants, providing regular feedback and support</li><li>Oversee full-cycle AP, bank/credit card reconciliations, journal entries, and general ledger reviews for client accounts</li><li>Organize and schedule client payments and payroll remittances</li><li>Prepare and review GST/WCB filings and supporting working papers (e.g., accruals, prepaids, AP listings)</li><li>Conduct balance sheet reconciliations and review financial records for completeness and accuracy</li><li>Assist with client queries, financial analyses, and audit support</li><li>Support internal process improvements in a digital, tech-forward environment</li><li>Collaborate with senior personnel on ad hoc tasks and administrative support as needed</li></ul>
We are looking for an experienced Manager of Financial Reporting to join a leading organization in Calgary, Alberta. In this role, you will oversee the preparation and analysis of financial statements, ensuring compliance with all relevant standards and regulations. This is an excellent opportunity for a motivated individual to lead a team, enhance reporting processes, and contribute to strategic decision-making.<br><br>Responsibilities:<br>• Prepare, review, and analyze monthly, quarterly, and annual financial statements in compliance with IFRS and other applicable standards.<br>• Lead the management discussion and analysis (MD& A) process, providing valuable insights to support organizational decision-making.<br>• Supervise and mentor a small team, ensuring accuracy and efficiency in financial reporting activities.<br>• Coordinate audit processes, including the preparation and review of working papers and addressing auditor inquiries.<br>• Oversee budgeting and variance analysis, offering recommendations to improve financial performance.<br>• Identify and implement opportunities to enhance financial reporting processes and systems.<br>• Collaborate with cross-functional teams to ensure the accuracy and timeliness of internal management reports.<br>• Stay updated on changes in accounting standards and regulations to ensure compliance.<br>• Provide leadership in the preparation of fair value assessments and other complex accounting analyses.
<p>Nous recherchons un contrôleur financier expérimenté pour se joindre à l'équipe de notre client, situé sur la rive nord de Montréal.</p><p><br></p><p><strong><u>Principales responsabilités</u></strong></p><p>• Diriger, motiver et encadrer l’équipe de la comptabilité corporative dans leurs tâches quotidiennes.</p><p>• Produire des états financiers internes et externes ainsi que des rapports financiers destinés à la direction.</p><p>• Analyser les résultats financiers et développer des indicateurs de performance stratégiques pour guider les opérations.</p><p>• Concevoir et mettre en œuvre des stratégies de financement adaptées aux besoins de l'organisation tout en évaluant les risques associés.</p><p>• Superviser les projets financiers de l’entreprise, notamment ceux liés à la réduction des coûts et aux initiatives stratégiques.</p><p>• Assurer un suivi rigoureux des flux de trésorerie et fournir des recommandations pour optimiser la gestion de la liquidité.</p><p>• Collaborer étroitement avec la direction et les chefs de service pour appuyer les décisions financières clés.</p><p>• Participer aux audits externes en fournissant une assistance et des informations précises.</p><p>• Identifier, évaluer et gérer les risques financiers afin de protéger les intérêts de l’organisation.</p><p>• Établir les coûts de revient des produits vendus tout en assurant leur suivi et leur mise en œuvre.</p><p><br></p>
<p>Nous recherchons un contrôleur expérimenté pour rejoindre l'équipe dynamique de notre client situé à Blainville. Ce poste clé offre une occasion unique de superviser les opérations financières et administratives, tout en contribuant à la planification stratégique et à l’optimisation des processus. Si vous avez une expertise en gestion d’équipe et une solide maîtrise des systèmes financiers, nous aimerions vous rencontrer.</p><p><br></p><p><strong><u>Principales responsabilités</u></strong></p><p>• Superviser le cycle complet des opérations financières, y compris la gestion des comptes fournisseurs et clients.</p><p>• Élaborer et suivre les prévisions budgétaires trimestrielles pour assurer une gestion efficace des ressources.</p><p>• Coordonner les processus de paie et les déclarations de taxes de vente en conformité avec les réglementations locales.</p><p>• Diriger et encadrer une équipe afin de garantir une performance optimale et un respect des délais.</p><p>• Maintenir des relations solides avec les institutions bancaires et gérer les conciliations bancaires.</p><p>• Collaborer avec les départements des achats et de la logistique pour une planification stratégique.</p><p>• Gérer les aspects administratifs, notamment les assurances et les processus liés aux ressources humaines.</p><p>• Préparer et présenter des rapports financiers clairs et détaillés à la direction.</p><p>• Utiliser des outils tels que SAP B1 et Power BI pour analyser les données et optimiser les processus.</p><p>• Travailler avec des devises multiples et assurer une gestion efficace des transactions internationales.</p>
<p>Our client, a leading North American organization, is seeking a Director of Finance to lead consolidated financial reporting, external disclosures, and compliance across a large, multi-entity structure. This role oversees monthly and quarterly close processes, preparation of financial statements, management reporting, and coordination with auditors and internal stakeholders. The Director of Finance will lead the corporate consolidation, external reporting, financial governance, and play a key role in executive-level reporting, business performance analysis, and ensuring regulatory compliance. </p>
<p>We are assisting an organization in hiring for a Corporate Reporting Manager position. The organization continues to see expansion in their business and they are seeking a strong leader to support this growth.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><p><br></p><ul><li><strong>Ensure compliance</strong>: Uphold strict adherence to US GAAP standards across all accounting operations to drive financial accuracy and transparency.</li><li><strong>Lead month-end closes</strong>: Direct and refine the month-end close process, ensuring timely and precise financial reporting that supports business decision-making.</li><li><strong>Optimize journal entries</strong>: Review, analyze, and post journal entries to maintain accurate and actionable records.</li><li><strong>Streamline inter-company activities</strong>: Reconcile inter-company transactions to foster collaboration and integrity across organizational entities.</li><li><strong>Strengthen balance sheet reconciliations</strong>: Prepare and audit balance sheet reconciliations, including subledgers (AP, AR), to reinforce the company’s financial foundation.</li><li><strong>Champion lease accounting compliance</strong>: Manage lease accounting processes in alignment with ASC 842 to mitigate risks and ensure operational consistency.</li><li><strong>Evaluate financial performance</strong>: Execute variance analysis and financial statement reviews, delivering critical insights that enable data-driven strategies.</li><li><strong>Oversee tax strategy</strong>: Manage sales and use tax filings, while navigating audits and ensuring regulatory compliance.</li><li><strong>Drive internal control excellence</strong>: Safeguard financial integrity by implementing and maintaining robust internal control frameworks.</li><li><strong>Collaborate on audits</strong>: Coordinate and partner with external auditors, ensuring seamless reviews and alignment.</li><li><strong>Lead and mentor staff</strong>: Empower and guide team members, fostering a culture of growth, collaboration, and curiosity.</li><li><strong>Take on impactful projects</strong>: Contribute to additional duties that align with organizational goals and deliver positive outcomes.</li></ul><p><br></p>
<p>Notre client est à la recherche d'un Chef comptable expérimenté pour superviser et diriger les opérations financières au sein de son organisation. Vous jouerez un rôle clé dans la gestion des comptes, la préparation des états financiers et le soutien à la prise de décision stratégique. Ce poste est une excellente opportunité pour un leader en comptabilité souhaitant contribuer activement à la croissance et à la performance financière de l'entreprise.</p><p><br></p><p>Responsabilités:</p><p>• Superviser l'équipe des comptes payables et fournir un encadrement efficace à ses membres.</p><p>• Assurer l'exactitude des codifications dans le système JDEdwards et approuver les entrées effectuées par le personnel.</p><p>• Effectuer les écritures comptables nécessaires pour les clôtures mensuelles et gérer le grand livre.</p><p>• Préparer les états financiers mensuels, trimestriels et annuels, tout en maintenant des registres à jour des transactions.</p><p>• Analyser les comptes de bilan et de résultats pour identifier les tendances et résoudre les écarts.</p><p>• Collaborer avec les divisions internes pour examiner les états financiers mensuels et fournir des recommandations.</p><p>• Gérer la trésorerie, y compris la préparation des paiements par transferts bancaires et chèques.</p><p>• Participer activement à la planification budgétaire et aux prévisions financières.</p><p>• Travailler avec les auditeurs pour garantir le bon déroulement des audits internes annuels.</p><p>• Identifier et résoudre les problèmes de conformité tout en proposant des améliorations aux systèmes financiers existants.</p>
<p>This Burnaby based client are looking for an experienced Accounts Receivable Manager to join their dynamic team. Overseeing the daily operation of the AR department and reporting directly into the Director of Finance you will be responsible for the following.</p><p><br></p><p>-Maintaining cash flow by ensuring accurate billing, efficient collections, and proactive resolution protocols across the team.</p><p>-Analyze AR processes, seeking out areas for improvement to optimize cashflow and overall workflow efficiency.</p><p>-Regular reporting on the AR function as a whole into senior management as well as interacting with other teams across the organization and externally communicating clients/customers.</p><p>-Lead cross-functional projects and initiatives focused on process improvement, automation, and scalability of AR operations.</p><p>-Enforce policies and procedures for the AR department, ensuring compliance with financial regulations.</p><p>-Support month-end and year-end closing processes by reconciling AR accounts and preparing necessary documentation.</p><p>-Working closely with each AR team member to provide mentorship and career development.</p><p><br></p><p><br></p>
<p>We are looking for a dedicated Manager of Accounting Services to oversee and enhance the financial operations of our organization. This role requires a meticulous leader with expertise in assurance engagements. Based in Toronto, this public practice position offers the opportunity to drive efficiency and ensure compliance with financial procedures.</p><p><br></p><p>Responsibilities:</p><p>• Lead the planning and execution of compilation, review, and limited scope audit engagements, including those of a complex nature. </p><p>• Supervise the preparation and review of financial statements in accordance with applicable accounting standards (ASPE/GAAP). </p><p>• Monitor engagement risk, quality, timelines, and budgets across all assurance assignments. </p><p>• Manage a diverse client portfolio of owner-managed businesses, understanding their operations, risks, and strategic goals. </p><p>• Maintain strong client relationships by delivering responsive service and practical advisory support across tax, budgeting, forecasting, and financial reporting. </p><p>• Contribute to firm-wide operational and strategic planning, identifying opportunities to improve workflow, client engagement, and internal systems. </p><p>• Support the business development process by participating in proposal preparation and identifying growth opportunities within existing client relationships. </p><p>• Lead and manage a team of up to five team members. </p>
We are looking for an experienced Office Manager to oversee daily administrative and operational tasks in our Aurora, Ontario office. In this Contract to permanent role, you will play a pivotal part in ensuring the smooth functioning of office processes while supporting the Managing Director directly. This position requires a highly organized and detail-oriented individual with strong communication skills and a solid background in office management.<br><br>Responsibilities:<br>• Manage the day-to-day administrative operations of the office, ensuring efficiency and organization.<br>• Provide direct support to the Managing Director, including scheduling meetings, managing correspondence, and handling confidential information.<br>• Oversee financial tasks such as payroll processing, accounts payable, and invoice management.<br>• Utilize accounting software systems and tools such as ADP, Concur, and CRM platforms to manage office finances and workflows.<br>• Coordinate employee schedules, maintain office supplies, and ensure adherence to company policies.<br>• Handle customer service inquiries and provide timely resolutions to maintain client satisfaction.<br>• Manage the office’s CRM system to track and update customer information accurately.<br>• Supervise the implementation and usage of specialized software like Dentrix Dental Software, as required.<br>• Ensure compliance with all organizational procedures and assist with audits when necessary.<br>• Collaborate with team members to improve office processes and introduce best practices.
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.
<p>We are looking for an experienced Accounting Manager for a client in the construction industry to oversee financial operations and ensure the accuracy of the organization's accounting processes. The ideal candidate will bring expertise in managing financial systems, streamlining processes, and leading a team to achieve operational excellence. This role is based in Toronto and offers an opportunity to make a significant impact on the company's financial health.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Oversee full-cycle accounting, HST and T2 tax filings, audits, and internal controls.</p><p>• Monitor financial performance, identify improvements, and make recommendations.</p><p>• Maintain accurate financial records, including general ledger, accounts payable/receivable, cash flow, and budgets.</p><p>• Prepare monthly, quarterly, and annual financial statements in compliance with accounting standards.</p><p>• Develop and enforce accounting policies, procedures, and internal controls.</p><p>• Lead budgeting and forecasting processes in collaboration with department heads.</p><p>• Manage cash flow and working capital, ensuring optimal cash management.</p><p>• Conduct regular reviews of financial data to identify discrepancies and implement corrective measures.</p><p>• Collaborate with internal teams to ensure compliance with financial regulations and standards.</p><p>• Develop and maintain accounting policies and procedures to improve efficiency and accuracy.</p><p>• Train and mentor team members, fostering growth and ensuring high performance.</p><p>• Coordinate audits and ensure readiness for financial reviews.</p><p>• Evaluate and implement improvements to internal control systems.</p>
<p><strong>Unlock Your Career Potential in a Controller Role That Drives Dynamic Growth</strong></p><p><br></p><p>Are you ready to take your career to the next level with a company at the forefront of their industry? Our Niagara Region client is seeking a Controller who thrives on collaboration, innovation, and strategic leadership to oversee all financial aspects of our business operations.</p><p><br></p><p>This is more than just a position. It’s an opportunity to shape the financial backbone of an industry-leading organization while working closely with senior management and operational teams in an in-office environment that fosters collaboration, teamwork, and success. Our client believes that the strongest ideas emerge when great minds come together, and they want <em>you</em> to be part of the exciting plans we have for the future.</p><p><br></p><p><strong>Why Join Us?</strong></p><ul><li>Accelerated Career Growth: You’ll gain valuable exposure to strategic financial leadership and advanced analytics, opening doors for growth and advancement within the Canadian operation and globally.</li><li>Dynamic Growth Environment: Be part of a forward-thinking organization driven by innovation and strategic excellence — with the resources to support your career development.</li><li>Collaborative Work Culture: Client is all about teamwork. Enjoy being at the center of decision-making while working alongside passionate professionals who share your drive for excellence.</li></ul><p><strong>Key Responsibilities</strong></p><p>As Controller, you’ll play a pivotal role in shaping the Canadian operations' financial strategies and operations:</p><p><br></p><p>Financial Analysis and Operational Insight (25%)</p><ul><li>Conduct advanced financial modeling, profitability analysis, cash flow projections, and investment return evaluations.</li><li>Work closely with operational managers to enhance business performance across key areas, identifying improvement strategies to bolster the company’s bottom line.</li></ul><p>Monthly Financial Reporting (15%)</p><ul><li>Assist in preparing and communicating financial reporting to the global parent, ensuring accurate and timely board-level presentations.</li></ul><p>Budget Preparation and Strategic Forecasting (35%)</p><ul><li>Lead the development of annual budgets, forecasting, and cash flow planning efforts to support steady company growth.</li><li>Partner with operational and business line leaders to assess margin opportunities, manage working capital, and optimize inventory.</li></ul><p>Support CFO and Finance Function | Risk Management (15%)</p><ul><li>Collaborate with the CFO to enhance internal processes, risk management systems, tax compliance, and reporting structures.</li><li>Provide solutions-driven leadership to other finance department employees.</li></ul><p><strong>What is in it for You?</strong></p><ul><li>Competitive Salary Package: Regular merit increases to reward your contribution and dedication.</li><li>Career Development: Opportunities to grow professionally in the Canadian operation and globally.</li><li>Team Culture: A positive and collaborative workplace with peers and leaders who care about your success.</li><li>Impactful Work: Enjoy meaningful projects where you directly influence operations and performance.</li></ul>
<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>
We are looking for an experienced Accounting Manager to oversee accounts receivable operations and lead a dedicated team in Markham, Ontario. This role requires a skilled individual who can manage multiple priorities, provide mentorship, and ensure efficient financial processes. The ideal candidate will bring strong technical expertise in AR, invoicing, and general ledger understanding, while fostering a collaborative and approachable work environment.<br><br>Responsibilities:<br>• Supervise and manage the accounts receivable team, providing guidance and support to ensure operational excellence.<br>• Oversee daily AR processes, including invoicing, credit memos, and trial balance preparation.<br>• Ensure accurate application and reconciliation of general ledger accounts.<br>• Coach and mentor team members to enhance their growth and performance.<br>• Monitor attendance and ensure adherence to company policies.<br>• Collaborate with senior finance leadership to align departmental objectives with organizational goals.<br>• Address collection processes and customer inquiries in a timely and efficient manner.<br>• Utilize accounting software systems to streamline workflows and improve efficiency.<br>• Maintain a personable and approachable management style to foster team engagement and collaboration.<br>• Uphold compliance with financial regulations and best practices.
<p>Notre client recherche un Contrôleur passionné par la gestion financière pour rejoindre son équipe dynamique à Pointe-Claire. Ce rôle clé implique une gestion complète des opérations comptables, tout en assurant la conformité réglementaire et en optimisant les processus internes. Vous aurez l'opportunité de travailler dans une entreprise reconnue parmi les mieux gérées, avec des avantages flexibles et innovants.</p><p><br></p><p>Responsabilités:</p><p>• Superviser et diriger les opérations quotidiennes du département de comptabilité et finances.</p><p>• Gérer toutes les opérations comptables, y compris la facturation, les comptes débiteurs et créditeurs, le grand livre, la comptabilité des coûts et la gestion des stocks.</p><p>• Préparer et publier des états financiers mensuels et annuels dans les délais requis.</p><p>• Encadrer et développer les membres de l'équipe comptable et financière.</p><p>• Coordonner la préparation des rapports réglementaires.</p><p>• Superviser et gérer le processus de vérification de fin d'année.</p><p>• Assurer le contrôle qualité des transactions financières et des rapports.</p><p>• Veiller à la conformité avec les exigences de déclaration locales, provinciales et fédérales, ainsi qu'avec les obligations fiscales.</p><p>• Identifier les opportunités d'amélioration des processus et mettre en œuvre des changements pour accroître l'efficacité.</p><p>• Documenter et développer des processus d'affaires et des politiques comptables pour renforcer les contrôles internes.</p>