Our client is a growing investment and operating organization with a diverse portfolio of businesses. They are looking for a hands‑on Corporate Accountant to join their finance team and support multiple entities. THE ROLE Reporting to the Finance Manager, you will be responsible for full‑cycle accounting, month‑end reporting, forecasting, cash flow, consolidations and investment reporting. This is a great prospect for an accountant who enjoys variety, analysis and taking ownership.
KEY RESPONSIBILITIES
- Full‑cycle accounting and month‑end close
- Journal entries, accruals, reconciliations and financial reporting
- Intercompany transactions and consolidation support
- Forecasting and cash flow reporting
- Investment reporting and reconciliations
- HST preparation and reporting
- Analyze variances and investigate unusual items
- Support process improvements and ad hoc financial analysis
Requirements
- 3+ years of accounting experience
- Strong understanding of full‑cycle accounting and financial reporting
- Advanced Excel skills
- Strong analytical and problem‑solving abilities
- Excellent attention to detail and organization
- Ability to work independently and manage multiple deadlines
- Degree/diploma in Accounting, Finance, Business or equivalent experience
- CPA or working towards CPA
- Multi‑entity/intercompany accounting experience
- Sage/Accpac or similar ERP
- Forecasting, cash flow or consolidation experience
- Power BI experience
This is an excellent opportunity to join a collaborative finance team in a role that offers broad exposure across accounting, forecasting, cash flow, consolidations and investments. If you’re looking for a position where you can make an impact, take ownership and continue to grow your accounting career, we’d love to hear from you.