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Intermediate Accountant
Company
CI Financial
Location
toronto, on
Type
Full-time
Description
Preparation of daily/monthly bank reconciliations
Preparation and validation of journal entries and transactions for day-to-day finance activities
Prepare working papers to support monthly financial statements, including month-end accruals
Reconcile and analyze accounts to identify drivers of financial results
Compile the supporting schedules for sales tax returns
Assistance with monthly/quarterly/annual reporting packages and reconciliations
Assistance in the preparation of working papers for internal, external and regulatory audits
Work with senior members to implement process improvements as identified
Perform other related financial analysis duties as required
WHAT YOU WILL DO
Preparation of daily/monthly bank reconciliations
Preparation and validation of journal entries and transactions for day-to-day finance activities
Prepare worki...
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