Join a unique Accountant role focused on M&A; at a Toronto-based investment firm. Collaborate closely with the Assistant Controller, embracing challenges in financial reporting and integration projects.
In this pivotal position, you will prepare comprehensive reporting packages and oversee essential financial operations as part of a firm managing a diverse portfolio of seven entities. Your insight will guide month-end reviews and complex transaction handling, providing a sturdy foundation for ongoing M&A; activities and growth projects.
Key Responsibilities:
• Handle multi-entity accounting entries in NetSuite
• Prepare in-depth financial reporting packages for executives
• Manage accounts payable, receivable, and bank reconciliations
• Support preparation of financial statements under IFRS/US GAAP
• Assist with HST and corporate tax return processes
Requirements:
• NetSuite experience for accounting practices
• Knowledge of IFRS and US GAAP financial requirements
• Robust capabilities in financial due diligence
• Skill in maintaining organized financial records
• Proactive in suggesting process enhancements
Showcase your accounting skills where M&A; dynamics meet innovation in Toronto.
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📌 Accountant Role Focused on M&A Integration (Ontario)
🏢 npaworldwide
📍 Ontario
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