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Prime FxSource d’offres vérifiée

Accountant

Offre en anglais

The role involves managing daily accounting operations, including bank reconciliations, vendor ledgers, and accounts payable/receivable across multiple branches. Additionally, the candidate will conduct periodic audits and provide advisory support for system improvements.

  • Sur place
  • Calgary, AB
  • Publié 21 août 2026
  • Postuler avant le 20 sept. 2026
  • 1 poste

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Résumé du poste

The ideal candidate will be involved with preparing financial reports and statements, bank reconciliations, and conducting cyclical audits. Moreover, the candidate must have strong interpersonal skills and possess a strong business acumen. Responsibilities Accounting & Finance Operations • Perform daily accounting tasks, including reconciliation of money exchange and remittance transactions and reconciliation of Multiple bank accounts including CAD, USD and correspondent accounts. • Maintain and update vendor ledgers in Excel to ensure accuracy of records. • Compile monthly sales summary sheets for all 5 branches and verify accuracy. • Maintain and reconcile journal ledger records for remittance services including third party providers. • Record and verify all debit amounts for branches with respective banks. • Compile and verify Prime Remit transactions, investigating and resolving discrepancies. • Record and manage accounts payables and receivables across all branches. • Track and record company expenses accurately for all branches. • Prepare and maintain financial documentation related to insurance, leases, and company registration. • Verify employees pay stub accuracy. • Conduct periodic branch-level audits in the system for all branches. • Coordinate with branch managers regarding accounts, payments, and financial queries. Advisory Support • Provide advisory input for Remittance and accounting system improvements. Other Duties • Perform additional accounting, finance, or administrative tasks as required to support company operations. Qualifications Bachelor's degree in Accounting or related field Ability to interpret and analyze financial statements and periodicals Fluency in Microsoft Office suite (Outlook, Excel, Word, PowerPoint, etc.)

Ce que vous ferez

The role involves managing daily accounting operations, including bank reconciliations, vendor ledgers, and accounts payable/receivable across multiple branches. Additionally, the candidate will conduct periodic audits and provide advisory support for system improvements.

Exigences

A Bachelor's degree in Accounting or a related field is required. Candidates must be proficient in Microsoft Office and possess the ability to analyze financial statements.

Compétences indiquées

  • Microsoft ExcelSouhaitée
  • Analyse financièreSouhaitée

Autres compétences pertinentes

Relevées dans la description du poste. Confirmez les exigences importantes ci-dessus.

  • Financial Reporting
  • Bank Reconciliation
  • Cyclical Auditing
  • Interpersonal Skills
  • Business Acumen
  • Vendor Ledger Management
  • Accounts Payable
  • Accounts Receivable
  • Financial Analysis
  • Microsoft Excel
  • Microsoft Office Suite
  • Journal Ledger Reconciliation

Domaines d’emploi

  • Finance & Accounting

Renseignements supplémentaires

Formation minimale
Baccalauréat
Expérience minimale
2+ ans
Postuler avant le
20 sept. 2026
Langue de l’offre
anglais
Heures de travail
40 heures par semaine
Niveau d’expérience
Mid-Senior level
Mode de candidature
La candidature directe est offerte