Our client:
Excellent working environment
Opportunity for advancement
Health care benefits and free parking
Job Description:
Daily management of financial controls, including cash management, cash projections, bookkeeping, bank reconciliations, accounts payable, accounts receivable
Ensure the exactness of inventory costing and invoicing produced by customer service department
Produce all mandatory bank and external accountant reports, statements or other documentation
Provide all required corporate tax returns information to the external accountant
Make sure that GST, QST, Income tax, and other legally required account remittances and reporting are maintained and accurate
Plan and manage tax accounting and analyze tax implications
Develop and implement financial, accounting and reporting policies and procedures
Manage all financial and accounting affairs – budgets, reports
Process and handle full cycle payroll for 7 US employees in an efficient manner
Research, analyse and present management tools and systems that could provide an advantage to the company
Regularly perform cash flow planning, which is tied directly to sales orders, supplier purchases and transport
Requirements:
Minimum 5 years relevant experience
Bachelors degree in commerce or equivalent
Strong knowledge of accounting software
Knowledge of payroll, full accounting cycle, taxation, forecasting and cash management
Excellent analytical and detail oriented skills
Ability to take initiative and work both independently and in a teamwork environment
Computer saffy
Strong communication and interpersonal skills