Remotely
financial reportingerpnetsuitetaxreconciliationsmonth end close
Job Description
📋 Description
- Month-end close and financial accounting: Prepare journal entries and schedules, support close
- Balance sheet management: Prepare reconciliations, investigate variances, ensure completeness and
- Business and operational support: Review customer billings, assist with project accounting and
- Cash flow and working capital: Reconcile cash/bank, monitor AR/AP aging, identify at-risk balances.
- Tax and statutory reporting: Prepare indirect tax filings and statutory reporting with focus on
- Intercompany accounting and process improvement: Support intercompany activities, identify gaps
🎯 Requirements
- Accounting experience: 2–3 years in general accounting, month-end close, reconciliations.
- Education: Post-secondary degree in Accounting, Finance, or related discipline.
- ERP knowledge: ERP systems experience; NetSuite is a plus.
- Technical accounting knowledge: Indirect taxation and multi-entity accounting exposure is
- Analytical skills: Detail-oriented with strong problem-solving abilities.
- Organization and communication: Capable of managing priorities and communicating with stakeholders.
🎁 Benefits
- Salary: CAD $60,000–$75,000 annually.
- Health coverage: Medical, dental, and vision for employees and families.
- Insurance: Life, disability coverage.
- Financial perks: Stock purchase plan, bonuses, referrals, computer purchase program.
- Work-life balance: Holidays, vacation, personal time off; fully remote in Canada with flexible
- Professional development: 100% tuition and book reimbursement, subject to restrictions.
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