CPA-Ready Accountant: Full-Cycle, ERP & Financial Analysis

Chartered Professional Accountants of British Columbia

Vancouver

On-site

CAD 93,000 - 109,000

Full time

14 days+
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Benefits offered by this job

Defined benefit pension plan
Competitive benefits

Job summary

GCT in Vancouver is seeking an Accountant to support the full-cycle accounting function within the Finance Department at our Head office. The role offers exposure to financial reporting, AP/AR, costing, ERP systems, tax compliance and process improvements.

You will work closely with GCT’s operating and finance teams to prepare journal entries, perform reconciliations and assist with month-end close while ensuring accuracy and compliance.

Qualifications

  • CPA designation in progress or newly designated with 3+ years of related full-cycle accounting experience.
  • Collaborative and able to establish positive relationships with internal and external stakeholders.
  • Strong written and verbal communication skills and attention to detail.
  • Experience with ERP systems and Excel; able to implement process improvements.

Responsibilities

  • Support full-cycle accounting including revenue, payroll and month-end close.
  • Prepare journal entries and perform reconciliations; assist with audits and regulatory filings.
  • Coordinate with Treasury/FP&A on cash flow and forecasting.
  • Maintain understanding of contracts, PST/GST and tax compliance.
  • Assist with ERP administration and system testing; ad-hoc analyses as needed.

Skills

Communication
Analytical skills
Problem solving
MS Excel
ERP systems
System implementation
Team collaboration

Education

CPA designation

Tools

Infor CSF

Job description

GCT in Vancouver is seeking an Accountant to support the full-cycle accounting function within the Finance Department at our Head office. The role offers exposure to financial reporting, AP/AR, costing, ERP systems, tax compliance and process improvements.

You will work closely with GCT’s operating and finance teams to prepare journal entries, perform reconciliations and assist with month-end close while ensuring accuracy and compliance.

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