16 Sep
|
OSI Maritime Systems
|
Burnaby
16 Sep
OSI Maritime Systems
Burnaby
Who are we?
At OSI Maritime Systems, we pride ourselves on delivering world-class navigation and bridge systems. With decades of experience serving military customers, we remain at the forefront of innovation in the maritime industry. Our collaborative and dynamic environment ensures every team member contributes to advancing marine safety and operational excellence. With a global presence, we are proud to have offices in Canada, UK, Taiwan, Australia and Germany.
The Accountant will perform a variety of accounting duties for OSI Maritime Systems (Canada) Ltd. and its subsidiaries; OSI Maritime Systems Ltd., OSI Maritime Systems Inc., OSI Maritime Systems (UK) Ltd. and OSI Maritime Systems (Australia) Ltd through the reconciliation of accounts; maintenance of financial records and completion of special accounting projects as needed.
What You'll Do
Assists with entries, reviews, posts, schedules and reports as appropriate for the division:
- Financial Accounting & Reconciliations: Maintains and reconciles key balance sheet schedules, bank accounts, operating loans, AP/AR, tax, accruals, and other general ledger accounts; investigates and resolves variances.
- Accounts Payable & Receivable: Reviews and processes AP payment batches, prepares cash receipts, initiates AP and payroll bank payments, and communicates customer payments to relevant stakeholders.
- Statutory & Tax Compliance: Reviews and submits monthly and quarterly GST/HST, PST, QST, and VAT remittances.
- Journal Entries & Month-End Close: Prepares and posts monthly accounting entries, including amortization, depreciation, accruals, project-related costs, and payroll.
- Payroll: Prepares global payroll entries, payments, and supporting documentation.
- Financial Reporting: Assists with monthly financial reporting and prepares monthly and annual working papers and supporting documentation for auditors.
- Cash Flow & Treasury Support: Post bank entries, credit card,
renewal, and subscription information used in cash flow forecasting and maintains multi-currency rates in Epicor.
- Procurement & Inventory Support: Reviews purchase order coding for accuracy and participates in annual inventory counts and related system entries.
- Special Projects: Supports other accounting, finance, and special projects as required.
- A Professional accountant requires to exercise logical and factual judgment based on GAAP, regulatory compliance and corporate policy adherence in matters related to:
- Resolving complex accounting issues
- Handling confidential information
- Evaluation of Tax, legal and financial risks
- Use of vital corporate information
What You'll Bring
- A Post-secondary degree with courses in Accounting; typically requires working towards qualified accounting designation
- 3-5 years’ experience in the duties as described in ‘Main Responsibilities’
- Depth knowledge of general accounting theory and practices, computerized accounting systems, accounts payable and receivable and internal management reporting;
- Strong organization, time management and prioritization skills;
- High level of accuracy; ability to meet deadlines;
- Excellent interpersonal and communication skills;
- Advance Excel and computer skills;
- Ability to work with people at all levels of the organization
Why work for OSI?
- Collaborative Culture: Work with a talented and supportive team that values innovation and teamwork.
- Diversity, Equity, and Inclusion: OSI is committed to fostering a workplace where everyone feels respected, valued, and empowered to contribute their best.
- Growth Opportunities: We invest in our employees' professional development and career growth with an annual employee driven development program.
- Competitive Benefits: Enjoy health, dental, RSP, vacation and a healthy work-life balance environment!
If you need accommodations during the hiring process, please contact Talent Acquisition.
📌 Finance and Accounting - AccountantR (Burnaby)
🏢 OSI Maritime Systems
📍 Burnaby