Duties and Responsibilities:
Accounting and audits:
- Generate and prepare accounting and supplementary reporting schedules for month end and audit
- Prepare monthly bank, accounts payables and receivable, intercompany and key accounts reconciliations
- Perform G&A expenses variance analysis
- Prepare monthly G&A vs Budget reports by departments
- Prepare HST/sale tax filing and remittance
- Respond to inquiries and requests from internal stakeholders
- Assist in the preparation of key performance metrics
Bank administration and treasury support:
- Prepare monthly cash interest paid report
- Monitor bank accounts and prepare daily cash and short-term liquidity reports.
- Administer and process CRA on-line platform and payments
- Confirm with counterparties foreign exchange spot purchases and FX swaps Other:
- Assist in system implementation and upgrades
- Participate in process improvement initiatives
Other requirements:
- Working toward a CPA, CA designation is an asset but not required
- Must have strong/advance skills in Excel, Power Point and Word
- Experience with accounting systems
- Experience with Yardi experience is an asset
- Strong organizational and time management skills
- Flexible with a “can-do” attitude and a “no task is too big or too small” attitude
- Superior attention to detail and accuracy and excellent follow-up skills
- Excellent problem-solving capabilities