About This Opportunity
The successful candidate will report to the Manager, Finance as part of the Corporate team in Downtown Toronto. Please note, this is a five day in-office role. Responsibilities: Execute the monthly financial close process for assigned subsidiaries and entities, identifying opportunities for efficiency improvements Prepare and record daily and monthly journal entries Prepare monthly bank reconciliations and manage loan and interest calculations Prepare quarterly intercompany billings and reconcile intercompany transactions with operating business groups and internal departments Assist in analyses for internal management reporting and regulatory requirements Propose and implement enhancements to processes, tools, and reports to drive efficiency Support special projects as assigned Qualifications: 1 to 2 years of progressive accounting or auditing experience CPA designation, or, currently pursuing CPA designation Advanced Excel skills and strong financial systems experience (Microsoft Dyn...