Director / Senior Director/ Vice President, Accounting

Valsoft Corporation

Canada

Hybrid

CAD 130,000 - 190,000

Full time

14 days+
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Benefits offered by this job

Competitive salary
Company match plan
Group benefits
Flexible work environment

Job summary

Valsoft Corporation is seeking a Controller to oversee accounting, financial reporting, planning, treasury and control functions to drive growth and ensure IFRS-compliant reporting.

You will lead cash management, tax planning, budgeting, and consolidation, partner with leaders, manage external audits, and build scalable processes in a flexible work environment across Canada.

Qualifications

  • Requires IFRS-compliant financial reporting and strong treasury management experience.
  • Ability to lead budgeting, forecasting, and long-range financial planning.
  • Strong internal controls mindset and external audit coordination.
  • Proven leadership of finance teams and cross-functional partnership.

Responsibilities

  • Oversee cash management, liquidity planning, and cash flow forecasting.
  • Manage banking relationships, credit facilities, and treasury operations.
  • Optimize working capital across receivables and payables.
  • Ensure IFRS-compliant monthly, quarterly, and annual reporting.

Skills

IFRS expertise
Cash management
Treasury management
Financial planning
Internal controls
Leadership
M&A integration

Job description

Quorum'sController isdirectly responsiblefor overseeing the company's accounting, financial reporting, planning, treasury, and control functions whileprovidingthe financial insight and guidance needed to support continued growth. By ensuring financial discipline, IFRS-compliant reporting, effective risk management, and meaningful analysis for leaders across the business, this role helps drive informed decisions that support Quorum's strategicobjectivesand long-term success.

Working Capital & Treasury Management
  • Oversee cash management, liquidity planning, and short- and long-term cash flow forecasting
  • Manage banking relationships, credit facilities, and treasury operations
  • Optimize working capital across accounts receivable, accounts payable, and other balance sheet items
  • Ensure effective controls and visibility over cash and funding positions
Tax Management
  • Lead corporate tax compliance and planning activities
  • Oversee SR&ED claims and related documentation and filings
  • Identifyand implement tax planning opportunities in compliance with applicable regulations
  • Coordinate with external tax advisors and auditors
Financial Planning & Analysis
  • Lead the annual budgeting process, periodic forecasting, and long-range financial planning
  • Providetimely,accuratefinancial analysis to support strategic and operational decision-making
  • Partner with business leaders to assess performance, investments, and key initiatives
  • Monitorfinancial risks and variances, providing clear recommendations to management
Strategic Projects & Integration
  • Lead and support ad hoc strategic projects, including M&A activities and acquisition integration
  • Partner cross-functionally on due diligence, financial analysis, process alignment, and integration planning
Financial Reporting
  • Ensure thetimelypreparation ofaccuratemonthly, quarterly, and annual financial statements
  • Deliver management reporting and consolidation reporting, and support the portfolio roll-up reporting cycle
  • Maintainstrong internal controls and accounting policies, ensuring compliance with IFRS and other applicable standards
  • Manage the external audit process and related deliverables
  • Continuously improvereporting processes, systems, and data quality
Leadership & Team Management
  • Lead, mentor, and develop the finance team
  • Establishclearobjectives, performance expectations, and accountability
  • Build scalable financial processes to support business growth
  • Promote a culture of professionalism, accuracy, and continuous improvement

Competitive salary

Company Match Plan

Group Benefits

Flexible work environment

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