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Intermediate Accountant

Access Results Management Services (ARMS)

Toronto

On-site

CAD 60,000 - 80,000

Full time

16 days ago

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Job summary

Access Results Management Services Inc. seeks an Intermediate Accountant to lead financial processes, ensure accurate reporting, and provide insightful analyses. Ideal candidates should have a relevant degree and a CPA in progress, along with 2-3 years of accounting experience and strong analytical skills.

Qualifications

  • 2-3 years of progressive accounting experience.
  • Strong knowledge of Canadian GAAP and IFRS required.
  • Proven ability to work independently and in a team.

Responsibilities

  • Assist in preparing quarterly and annual financial statements.
  • Perform monthly reconciliations of all accounts.
  • Manage accounts payable and receivable for accuracy.

Skills

Communication
Critical Thinking
Attention to Detail
Time Management
Organizational Skills

Education

Post-secondary degree in Finance, Accounting, Commerce or Business
In progress of obtaining a CPA

Tools

Microsoft Excel
Microsoft Office Suite

Job description

  • At Access Results Management Services Inc., we specialize in industrial real estate asset management for private companies and Parkit Enterprise Inc., a public company under the ticker PKT on the TSX-V.
  • Our mission is to provide exceptional service to our tenants and maximize value for our clients by offering innovative property management solutions and industry expertise.
  • Intermediate Accountant Role - The Intermediate Accountant reports to the Manager of Finance with responsibilities that include leading the financial statement drafting process, reconciling account balances, maintaining the general ledger, preparing month-end close procedures, as well as providing insightful financial analyses to assist with the company’s strategic goals.
  • Specific Accountabilities :
  • Assist in preparing quarterly and annual financial statements, in an accurate and timely manner to meet TSXV reporting requirements.
  • Perform monthly reconciliations of all accounts, including reconciling general ledger to subledgers, ensuring proper support, review of accruals, and investigation of discrepancies.
  • Key accounts include : Investment Properties, Straight Line Adjustments, Properties Under Construction, Debt and Financial Instruments.
  • Oversee accounts payable and receivable to ensure proper coding and accuracy.
  • Provide recommendations to optimize accounting systems, processes and procedures.
  • Prepare monthly HST and QST filings.
  • Any other tasks as may be required to meet company objectives.
  • Qualifications :
  • Assist in the preparation of financial budgets, cash flows, short-term and long-term forecasts.
  • Working with the property management team : Prepare, update, and assess property operating budgets for tenant cost reconciliation reporting and identifying areas for optimization and cost savings.
  • Support investor relations activities, including assisting in preparing Management's Discussion and Analysis, presentations, and financial updates.
  • Assist with the interim and year end external auditing process by providing supporting documentation and responding to questions from the auditor.
  • Post-secondary degree (equiv. of Finance, Accounting, Commerce or Business)
  • In progress of obtaining a CPA, or CPA designated
  • 2-3 years of progressive accounting experience
  • Strong knowledge of Canadian GAAP and IFRS
  • Well-developed interpersonal, oral and written communication skills
  • Strong critical thinking skills and attention to detail
  • Advanced Microsoft Excel and Microsoft Office suite
  • Effective time management and organizational skills; demonstrated ability to balance multiple concurrent projects and priorities
  • Proven ability to work independently and within a team environment
  • Work Location :
  • At Access Results Management Services Inc., we specialize in industrial real estate asset management for private companies and Parkit Enterprise Inc., a public company under the ticker PKT on the TSX-V.
  • Our mission is to provide exceptional service to our tenants and maximize value for our clients by offering innovative property management solutions and industry expertise.
  • Intermediate Accountant Role - The Intermediate Accountant reports to the Manager of Finance with responsibilities that include leading the financial statement drafting process, reconciling account balances, maintaining the general ledger, preparing month-end close procedures, as well as providing insightful financial analyses to assist with the company’s strategic goals.
  • Specific Accountabilities :
  • Assist in preparing quarterly and annual financial statements, in an accurate and timely manner to meet TSXV reporting requirements.
  • Perform monthly reconciliations of all accounts, including reconciling general ledger to subledgers, ensuring proper support, review of accruals, and investigation of discrepancies.
  • Key accounts include : Investment Properties, Straight Line Adjustments, Properties Under Construction, Debt and Financial Instruments.
  • Oversee accounts payable and receivable to ensure proper coding and accuracy.
  • Provide recommendations to optimize accounting systems, processes and procedures.
  • Prepare monthly HST and QST filings.
  • Any other tasks as may be required to meet company objectives.
  • Qualifications :
  • Assist in the preparation of financial budgets, cash flows, short-term and long-term forecasts.
  • Working with the property management team : Prepare, update, and assess property operating budgets for tenant cost reconciliation reporting and identifying areas for optimization and cost savings.
  • Support investor relations activities, including assisting in preparing Management's Discussion and Analysis, presentations, and financial updates.
  • Assist with the interim and year end external auditing process by providing supporting documentation and responding to questions from the auditor.
  • Post-secondary degree (equiv. of Finance, Accounting, Commerce or Business)
  • In progress of obtaining a CPA, or CPA designated
  • 2-3 years of progressive accounting experience
  • Strong knowledge of Canadian GAAP and IFRS
  • Well-developed interpersonal, oral and written communication skills
  • Strong critical thinking skills and attention to detail
  • Advanced Microsoft Excel and Microsoft Office suite
  • Effective time management and organizational skills; demonstrated ability to balance multiple concurrent projects and priorities
  • Proven ability to work independently and within a team environment
  • Work Location :
  • In-person

Please note that applicants must be legally entitled to work in Canada, and a Clear Criminal, Credit and Employment Background Check is required for chosen candidates.

We thank all applicants for their interest; however, only those selected to proceed in the interview process will be contacted.

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