Jule has maintained its flat management structure and start-up culture, despite its steady growth in the industry for the past ten years.
The Business Development
Coordinator will be a part of a rapidly growing Business Development team with opportunities to collaborate with various department’s including, Engineering, Purchasing, Product Design, Sales, Project Management and more! Join a close-knit, high-energy team that rewards those who are naturally curious and exceptionally driven, to reach their growth potential. Using its patented battery & power/energy management technologies, Jule has been delivering successful projects over a wide range of industries, including community energy storage, electric vehicle charging infrastructure and microgrid development.
The Accountant is responsible for ensuring that accounts and financial data are processed accurately. The accountant duties include bank and credit card reconciliation, accounts payable, cheque runs, vendor communication, payroll processing, financial reporting, and various other duties to support the finance team. The accountant will be reporting to the Accounting Manager.
Bank and Credit Card Reconciliation Perform monthly reconciliations for all bank and credit card accounts in Canadian and U.Ensure reconciliation reports are stored on the X: drive and maintain a comprehensive filing system with all supporting documentation. Update the cash float daily and verify that all transactions are supported by receipts.
Accounts
Payable and Vendor Management Input bills into QuickBooks Desktop, ensuring they align with Purchase Orders and Packing Slips, and record vendor information, including currency, pricing, and HST. Conduct cheque runs twice a month and maintain an up-to-date schedule of cheques issued in both CAD and USD.
Manage and organize the accounts payable vendor filing system.
Payroll Administration
Process payroll on a biweekly basis, ensuring accurate accounting for vacation time, overtime, and lieu time. Reconcile and file all necessary payroll remittances, including WSIB and EHT documentation, in a timely manner. Assist with shipping and invoicing tasks as needed. Perform reception duties and other ad-hoc assignments to support the finance department. Monthly reconciliation reports are due by the 15th of the following month.
Weekly Accounts Payable Aging
Details are required before each cheque run, with submissions on the 15th and the end of each month. Payroll must be processed biweekly, with payroll remittances filed at the end of each month. Minimum 3 years of accounting experience in a similar role. Bachelor’s degree in accounting, finance, or related field. Currently enrolled or pursuing CPA Designation is an asset. Hands-on experience with accounting software packages, mainly QuickBooks.
Proven
Accounting experience with Accounts Receivable and Accounts Payable. Thorough knowledge of accounting procedures. As part of this commitment, we do not use artificial intelligence or automated systems to screen applications.
Every résumé is reviewed by a member of our hiring team to help reduce bias and ensure candidates are assessed fairly and thoughtfully. The expected annual salary range for this position is $45,000 to $65,000 , with final compensation determined based on skills, qualifications, and relevant experience. We are committed to pay equity and to offering compensation that is fair, transparent, and competitive.
Accommodations are available at any stage of the selection process upon request. Accounting and Finance This is a full time position #
📌 Accountant - Medical Field (Toronto)
🏢 Jule
📍 Toronto