03 Oct
|
Outhire
|
Toronto
Corporate Accountant Summer half-day Fridays Cash Bonus The Office Hybrid (4 days in office) 3 in Corporate Accounting A hands-on accounting role supporting the Corporate Accounting function, responsible for full-cycle accounting across multiple corporate entities with a focus on financial operations, reporting, and treasury support. Treasury & Cash Management (25%) Process Improvement & Ad Hoc Work (15%) Own monthly close activities for assigned corporate entities including bank reconciliations, journal entries, and subledger maintenance Prepare quarter-end financial working papers with quarter-over- quarter variance analysis Support the annual audit and budget processes through timely completion of working papers and auditor requests Treasury & Cash Management Prepare treasury backups and supporting packages for review and approval Support treasury activity including EFTs, wires, and transfers Complete bank reconciliations tied to treasury activity A growing real estate and investment firm managing entities across multiple operating platforms including residential development, commercial properties, and investment funds. The organization values entrepreneurial thinking and is focused on building scalable processes and systems to support continued growth.
Step into a role with broad exposure to corporate accounting across a portfolio of active entities,
working closely with an experienced corporate finance team. You will own meaningful workstreams from day one, build depth in multi-entity accounting and treasury, and have the room to grow your technical skills through project work as the business evolves. Get familiar with the corporate entities, systems, and the working paper structure Begin picking up monthly close tasks for assigned entities Build relationships with the corporate finance team and key stakeholders Understand the treasury backup and approval workflow Get into the routine of the monthly and treasury schedules Complete quarter-end working papers and variance analysis for assigned entities Manage treasury backups and intercompany chargeback settlement confidentlyBegin contributing to process improvement and project work Serve as a reliable, self-sufficient contributor on the corporate team Identify and drive at least one process or automation improvement Deepen involvement in evolving-business and system project work University degree in Accounting, Finance, or a related field required CPA candidates or pursuant preferred Minimum 2 years of relevant accounting experience, ideally including multi-entity or corporate accounting Intermediate to advanced level excel skills, comfortable working with large data sets #
📌 Cash/Accounts Payable Accountant - Full Time (Toronto)
🏢 Outhire
📍 Toronto