Finance Manager - 6 Month Contract - C$50 - C$60 An Hour
Executive Recruiter
Base pay range
CA$50.00/hr - CA$60.00/hrExecutive Recruiter | Finance & Accounting
This is a 6 month contract with permanent potentialAbout the Opportunity
Prepare month end financial statementsReconcile cash transactions and bank statements for multiple corporate cash accountsMonitor reconciliation activities performed by a center of excellenceResearch and resolve reconciling items related to cashCollaborate with different departments of the business to ensure proper recording of cash-related transactions and timely resolution of reconciling itemsPrepare and approve journal entries and month-end account reconciliations for cash and investmentsMonitor and analyze cash flow reportingProvide insightful financial analysis, including explanations of variances between actual and prior period resultsHave a strong understanding of accrual accounting under US Generally Accepted Accounting Principles (US GAAP) and SEC reporting requirementsRecommend process improvements to streamline the cash processEnsure continued compliance with internal audit and Sarbanes-Oxley Act (SOX) requirements and assist with the identification of process/control/automation enhancementsPerform other duties as assigned.About You
Working towards designation5+ years of full cycle accounting experience including preparing reconciliations, researching and resolving unreconciled differences, performing detailed financial analysis, cash flow reporting, etc.Oracle and WorkdayAdvanced ExcelExcellent verbal and written communication skills, ability to work with cross-functional teams and senior managementEngaging, confident, problem solverSeniority level
Mid-Senior levelEmployment type
ContractJob function
Accounting/Auditing
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CA$50.00/hr - CA$60.00/hrExecutive Recruiter | Finance & Accounting
This is a 6 month contract with permanent potentialAbout the Opportunity
Prepare month end financial statementsReconcile cash transactions and bank statements for multiple corporate cash accountsMonitor reconciliation activities performed by a center of excellenceResearch and resolve reconciling items related to cashCollaborate with different departments of the business to ensure proper recording of cash-related transactions and timely resolution of reconciling itemsPrepare and approve journal entries and month-end account reconciliations for cash and investmentsMonitor and analyze cash flow reportingProvide insightful financial analysis, including explanations of variances between actual and prior period resultsHave a strong understanding of accrual accounting under US Generally Accepted Accounting Principles (US GAAP) and SEC reporting requirementsRecommend process improvements to streamline the cash processEnsure continued compliance with internal audit and Sarbanes-Oxley Act (SOX) requirements and assist with the identification of process/control/automation enhancementsPerform other duties as assigned.About You
Working towards designation5+ years of full cycle accounting experience including preparing reconciliations, researching and resolving unreconciled differences, performing detailed financial analysis, cash flow reporting, etc.Oracle and WorkdayAdvanced ExcelExcellent verbal and written communication skills, ability to work with cross-functional teams and senior managementEngaging, confident, problem solverSeniority level
Mid-Senior levelEmployment type
ContractJob function
Accounting/Auditing
#J-18808-Ljbffr
Reference: WJ-4611_619938