Duties will include but not limited to:
Perform month end close procedures and prepare month end reconciliations.
Assist with quarterly and annual audit processes as needed.
Assist and provide direction to others within the accounting department and advise direct report of potential areas for improvement.
Ensure accounting task completion in accordance with policies, procedures, and business strategies.
Create all financial reports in accordance with appropriate accounting framework.
Review monthly reconciliation of Bank Accounts.
Prepare any internal review documents.
Reconcile GL Balance Sheet accounts.
Prepare timely and accurate management reports as required.
Assist senior management with special projects as required.
Minimum Requirements:
Experience using accounting principles and Canadian public sector accounting standards or equivalent - 5 years.
CPA designation.
Excellent verbal and written communication skills and ability to interact and collaborate professionally with a diverse group.
Experience developing and maintaining positive relationships across the organization, including executive level.
Experience with research, analysis and problem solving.
High customer service skills and ethics.
Experience with and knowledge of financial reporting ensuring the accuracy and reliability of financial statements, and using Microsoft Excel.
Relevant work experience and experience with Microsoft Office.
The ability to accurately calculate, post, correct, and manage accounting figures and financial records.