Job Description
<h3>Job Description</h3><p>Job Description<p>Salary: Depending on Experience<br /><p>OPIsystems Inc. is searching for an Intermediate Accountant to join our team!! The Intermediate Accountant will be responsible for timely and accurate Financial Statement preparation and analysis. This position will contribute to the efficient and effective workings of the finance department by executing daily tasks with a strong attention to detail. This role will provide support to department activities with specific responsibility for processing, recording, updating and reconciling information in compliance with established policies.</p><p><br /></p><p>Other responsibilities include:</p><p>Ensure accurate and timely month close and financial reporting<br />Tasks & Activities:</p><ul><li>Accountability for the full-cycle accounting process</li><li>Monthly posting and reconciliation of the general ledgers within the companies financial ERP<br /></li><li>Monthly reconciliation of intercompany accounts with U.S.A-affiliated entities<br /></li><li>Posting bank adjustments to the general ledger for all entities<br /></li><li>Monthly reconciliation and adjustment for a manufacturing environment, including Inventory, COGS, and<br />deferred revenue<br /></li><li>Monthly state sales tax analysis and preparation of remittance report.<br /></li><li>Reconcile and review the profit and loss statements for the entire company and by each department</li><li>Oversee and provide guidance to other accounting functions (AP, AR, Payroll, Taxation)<br /><span >(AP/AR/Payroll/Taxation)</span><br /></li></ul><p><br /></p><p>Support accurate semi-annual reporting and operational readiness<br />Tasks & Activities:</p><ul><li>All monthly accountabilities</li><li>Assist the production team with preparing inventory count sheets and supporting documentation</li></ul><p><br /><strong>Ensure a complete, accurate, and compliant year-end close</strong><br />Tasks & Activities:</p><ul><li>All semi-annual accountabilities;</li><li>Year-end account reconciliations including foreign exchange adjustments for foreign currency accounts.<br /></li><li>Capital asset depreciation analysis and summary.</li><li>Ensure the annual accounting cycle is reconciled and closed for a CCPC (Canadian Private<br />Corporation)</li><li>Support year-end reportings requirement related to company valuation and external stakeholders</li></ul><p><br />Provide timely and accurate financial information to support business decisions<br />Tasks & Activities:</p><ul><li>Respond to ad hoc queries and requests for accounting and general ledger, and financial information</li><li>Support financial analysis, budgeting, forecasting, and variance analysis initiatives as required (financial planning and analysis)</li></ul><p><br /></p><p>Requirements</p><p> Candidate must hold a CPA designation or be working towards their designation.</p><p> 3-5 years related experience in full cycle accounting.<br />Knowledge of the NetSuite ERP system<br /> Proven experience in taking responsibility for full-cycle accounting processes policies and systems.<br /> Strong financial acumen and analytical agility.<br /> Detail oriented, organized and ability to meet tight deadlines<br /> Proven prioritization, time management and project management skills<br /> Highly effective written and interpersonal communication skills; the ability to build a positive, team-oriented environment.<br /> Demonstrated aptitude in dealing with private and confidential information; uses diplomacy and tact in all<br />interactions</p><p>Financial planning & analysis experience (budgeting, forecasting, cash flow analysis, or management reporting) is considered an asset.</p><p><br /></p></p></p>Create Your Resume First
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