Job Overview
Directs the organization’s financial planning and accounting practices as well as its relationships with lending institutions and the financial community by performing the following duties personally or through subordinate personnel.
Responsibilities
* Prepare and analyze monthly and annual financial statements, including balance sheet, income statement, and cash flow statement for several companies in the corporate group.
* Monitor cash flow and liquidity, ensuring adequate funds are available to meet operational needs and capital requirements.
* Prepare and analyze various reports related to payroll, cash flow, loans, etc.
* Review all cheques before sending for signature to ensure adequate backup documentation is provided, that the expense is approved, and that it was recorded correctly.
* Establish and maintain internal control procedures to safeguard company assets, prevent fraud, and ensure compliance with regulatory requirements.
* Coordinate with external tax advisor to ensure compliance with tax regulations and optimize tax planning strategies to minimize liabilities.
* Research any applicable government grants or loans or any other funding available.
* Prepare for and manage external year-end review and compilation engagements, liaising with the external accountants to prepare and provide necessary working papers and other documentation and resolve any questions or concerns found.
* Supervise and mentor the accounting team, providing guidance, training, and support to ensure accurate and timely financial reporting and compliance.
* Identify opportunities to streamline processes, improve efficiency, and reduce costs within the finance department and across the organization.
* General office management duties and administrative functions.
* Cross-train in all critical office functions in order to cover vacation/sick time. Shipping, purchasing, and payroll are the most critical functions but the Controller should have a working knowledge of all office/accounting functions.
* Sundry duties as assigned.
Skills
* Proficient in account analysis, budgeting, accounts payable, accounts receivable, and account reconciliation.
* Strong knowledge of accounting software, Sage 50 preferred.
* Exceptional analytical skills with a keen attention to detail.
Minimum Requirements
Bachelor's degree in accounting or finance. CPA designation preferred. At least 5 years of experience in accounting with at least 2 years of that in a management role.
If you are a proactive professional with a passion for finance and a commitment to excellence, we encourage you to apply for this exciting opportunity as a Controller.
Job Types: Full-time, Permanent
Benefits:
* Dental care
* Disability insurance
* Extended health care
* Life insurance
* On-site parking
* Paid time off
* RRSP match
* Vision care
Flexible language requirement:
* French not required.
Schedule:
* Monday to Friday
Education:
* Bachelor's Degree (required)
Experience:
* Accounting: 5 years (required)
Work Location: In person
Application deadline: 2024-12-20
#J-18808-Ljbffr