Grow with the best. Join a smart, creative, and inspired team that works behind the scenes to support operational excellence. Our functional services teams (FSTs) provide services to 22,000 employees in over 400 locations worldwide. Bringing together individuals with diverse backgrounds, talents, and expertise, our FSTs are vital to making our Company stronger. Explore opportunities in Financial Services.
An opportunity exists for an Accounting Technician with strong multi-tasking, interpersonal and organizational skills. As a key member of the Financial Services team and business partner with operations, the Accounting Technician will provide financial expertise in the day-to-day operations of financial reporting adding value to the company. This opportunity is located in our Edmonton, Alberta, office.
**Your Key Responsibilities**
+ Performing daily bank loads and auto-reconciliation of bank accounts as assigned.
+ Manually reconcile bank lines (e.g. receipts, etc) in the Cash Management module.
+ Prepare journal entries for any inter-company wire transfers and other treasury related activities such as bank charges and interest.
+ Investigate and follow-up on unrecorded payments and receipts with Accounts Payable and Cash Receipts Technicians on a timely basis.
+ Prepare monthly balance sheet account reconciliations related to main CAD, US, other banks.
+ Prepare other monthly balance sheet account reconciliations as needed
+ Assist in the 5-day period end close process.
+ Assist with the review and implementation of business processes improvements.
+ Assist with testing updates and changes to financial system.
+ Maintain process documentation
+ Various duties and projects as assigned
**Your Capabilities and Credentials**
+ Proficiency in Microsoft Excel
+ Excellent interpersonal and communication skills
+ Strong organizational skills
+ Attention to detail
+ Strong focus on customer satisfaction
**Education and Experience**
Accounting Diploma or Degree and a minimum of one-year experience working in an Accounting department.
Experience with high-volume bank reconciliation would be an asset
Experience with Oracle or other large Enterprise system is preferred
Working towards an Accounting designation is preferred
_This description is not a comprehensive listing of activities, duties or responsibilities that may be required of the employee and other duties, responsibilities and activities may be assigned or may be changed at any time with or without notice._
Stantec is a place where the best and brightest come to build on each other’s talents, do exciting work, and make an impact on the world around us. Join us and redefine your personal best.
**Primary Location:** Canada-Alberta-Edmonton
**Employee Status:** Regular
**Job Level:** Entry Level
**Req ID:** 190003EI