Accountant

Olympia Tile+Stone Inc.

Toronto

On-site

CAD 70,000 - 100,000

Full time

8 days ago
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Benefits offered by this job

Health benefits
RRSP and Pension
Paid vacation

Job summary

Olympia Tile+Stone Inc. is seeking an experienced Accountant to support a fast-paced finance team across Canada and the US.

You will own reconciliations, journal entries, intercompany activity, and month‑end close in a multi‑currency environment, reporting to the Financial Controller and collaborating with the broader finance group. You’ll gain hands‑on exposure to ERP systems (P21, Epicor), intercompany settlements, and regulatory filings while maintaining strong internal controls and accuracy.

Qualifications

  • 5–7 years of progressive accounting experience.
  • College diploma or university degree in Accounting, Finance, or a related discipline.
  • Experience with reconciliations, journal entries, vendor payments, and audit support preferred.

Responsibilities

  • Own the full accounting cycle in a multi‑currency, multi‑province environment.
  • Perform reconciliations for AP, AR, intercompany, inventory, prepaids, accruals, and deposits.
  • Post month‑end and year‑end journal entries in P21 and Epicor.
  • Process payments and wire transfers in CAD, USD, and EUR.
  • Support audits with documentation and auditor inquiries.
  • Generate finance reports and assist with variance analysis and reporting.

Skills

Reconciliations
Journal entries
Intercompany accounting
ERP systems
Excel proficiency

Education

Accounting degree

Tools

P21 (Prophet 21)
Epicor ERP

Job description

Olympia Tile+Stone is a leading distributor in the ceramic tile and stone industry, with a rich history dating back to 1927. The company has expanded to establish branches in major cities across Canada and the United States, and has become an international leader in the industry. Olympia Tile+Stone is the largest importer of tile in Canada and a key supplier in the United States.

What You’ll Do

As an Accountant, you play a key role in supporting the financial accuracy and operational efficiency of the organization. Working closely with the Financial Controller and broader finance team, you will gain hands‑on exposure to the full accounting cycle within a fast‑paced, multi‑currency and multi‑province environment. Your work directly supports accurate reporting, operational decision‑making, and the overall financial health of the business. This role is ideal for someone early in their accounting career who is comfortable working with numbers, eager to learn, and looking to grow their skills under experienced mentorship in a collaborative environment.

Key Responsibilities:

The Accountant is responsible for owning Olympia’s marketing vision, brand identity, and campaign strategy, ensuring alignment with business objectives while driving awareness, engagement, and growth. This role operates across both strategic leadership and hands‑on execution, balancing long‑term planning with day‑to‑day involvement in key initiatives.

You will:

  • Perform reconciliations for AP, AR, intercompany, inventory, prepaids, accruals, and deposits across both entities.
  • Prepare and post journal entries in P21 and Epicor for month‑end and year‑end processes.
  • Process wire transfers and payments to vendors in CAD, USD, and Euro.
  • Conduct bank reconciliations and ensure proper documentation for all transactions.
  • Reconcile intercompany balances between Olympia Tile & Flextile Ltd. and resolve differences before close.
  • Maintain and update fixed asset schedules, donations, and statutory filings (e.g., sales tax, Canada surveys).
  • Provide audit support by preparing documentation and responding to auditor inquiries.
  • Generate sales and commission‑related reports; assist with property lease reporting.
  • Upload payroll entries and act as backup for bank transfers when required.
What You Bring
  • You bring 5-7 years of progressive accounting experience.
  • College diploma or university degree in Accounting, Finance, or a related discipline
  • Experience with reconciliations, journal entries, vendor payments, and audit support preferred.
  • Experience with intercompany accounting in a multi‑entity environment an asset.
  • Strong attention to detail and accuracy in financial reporting.
  • Analytical skills for reconciliations and variance analysis.
  • Ability to prioritize and manage multiple deadlines under time‑sensitive conditions.
  • Advanced Excel — pivot tables, lookups, and multi‑tab reconciliation models. Proficiency in Microsoft Word.
  • Hands‑on experience in an enterprise ERP; Prophet 21 (P21) or Epicor preferred.
  • Experience processing multi‑currency payments (CAD, USD, Euro) through an online banking platform an asset.
  • Strong written and verbal communication skills.
  • Professional integrity and discretion in handling financial information
What We Offer
  • Comprehensive benefits (health, dental, vision, and more).
  • Paid vacation and holidays.
  • Participation in the Company’s RRSP and Pension programs.
  • A chance to grow alongside a high‑impact team in an established, respected organization.
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