Senior Financial Systems Analyst: Trading & Inventory

Parkland Corporation

Calgary

On-site

CAD 90,000 - 120,000

Full time

14 days+
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Job summary

Parkland Corporation in Calgary seeks a Senior Financial Analyst to ensure reliable, timely and accurate reporting of trading results. You will participate in the monthly/quarterly GL close and management reporting to operations leadership and Corporate reporting teams.

Responsibilities include trade validation, inventory accounting, profitability analysis, intercompany reconciliations, forecasting support, external reporting, SOX controls, and process improvements.

Qualifications

  • Bachelor’s Degree in Finance or Accounting with 5+ years of operations accounting experience
  • Professional accounting designation (CPA or equivalent)
  • Knowledge of SQL is considered an asset

Responsibilities

  • Trade Validation: Review and reconcile trade data between systems; resolve discrepancies.
  • Inventory accounting: Reconcile physical and system inventory to GL; investigate variances and support valuation.
  • Profitability Analysis: Validate P&L and analyze margins, drivers, and trading performance.
  • Intercompany Reconciliations: Reconcile balances and transactions across entities; resolve mismatches.
  • GL Close: Support month- and quarter-end close, journal entries, and balance sheet reconciliations.
  • External Reporting: Assist with financial disclosures, audits, and compliance with accounting standards.
  • Derivatives Validation: Review MTM valuations and validate gains/losses; ensure proper accounting treatment.
  • Lease accounting: Perform accounting for operational leases.
  • SOX compliance: Execute controls and retain evidence to meet annual SOX requirements.

Skills

Financial analysis
SOX compliance
SQL
Team collaboration
Excel

Education

Bachelor’s Degree in Finance/Accounting
CPA or equivalent

Tools

Allegro
Great Plains

Job description

Parkland Corporation in Calgary seeks a Senior Financial Analyst to ensure reliable, timely and accurate reporting of trading results. You will participate in the monthly/quarterly GL close and management reporting to operations leadership and Corporate reporting teams.

Responsibilities include trade validation, inventory accounting, profitability analysis, intercompany reconciliations, forecasting support, external reporting, SOX controls, and process improvements.

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Comprehensive health benefits
Dental benefits
Two weeks vacation
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