22 Sep
|
OSI Maritime Systems
|
Burnaby
22 Sep
OSI Maritime Systems
Burnaby
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 skilled 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
📌 Finance and Accounting - AccountantR (Burnaby)
🏢 OSI Maritime Systems
📍 Burnaby