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About This Opportunity
- Manage daily accounting tasks, including journal entries, ledger maintenance, and bank settlements. Oversee the month‑end close, prepare year‑end financial statements, and assist with financial reports for Head Office, ensuring accuracy, compliance, and timely delivery.
- Reconcile accounts to maintain data accuracy and integrity, providing clear financial insights to support branch‑wide decision‑making and collaborative efforts with other departments.
- Supervise account lifecycle management (opening, maintenance, closing), conduct ad‑hoc analyses and projects (like system UAT testing or upgrades), and regularly update accounting policies and procedure manuals.
Financial & Regulatory Reporting
- Collaborate with internal departments, Head Office, and external CPAs to prepare and review financial statements (daily to annually) and ensure the timely and accurate submission of regulatory reports (e.g., OSFI, Bank of Canada, Statis...