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An established industry player is seeking a seasoned finance professional to manage accounting entries and financial reporting within a dynamic finance team. This role involves ensuring accurate month-end closings, performing variance analysis, and preparing forecasts and budgets. The ideal candidate will have over 10 years of experience, including expertise in IFRS and advanced Excel skills. This position offers a unique opportunity to collaborate with department heads and contribute to process improvements while supporting the AP team. If you're passionate about finance and looking to make a significant impact, this role is perfect for you.
The position involves managing accounting entries, month-end closing, financial reporting, and analysis within the Finance team. Key responsibilities include ensuring accurate and timely month-end closings, performing variance analysis, preparing forecasts and annual budgets, and creating management reports. The role also involves business partnering with department heads, coordinating with external parties (auditors, tax agents, and government authorities), and assisting with system implementations and process improvements. Additionally, the position supports the AP team with claims and invoices and prepares balance sheet schedules and financial reports for management.
Candidates should have at least 10 years of relevant experience, including a minimum of two years in audit, and hold a Bachelor's Degree in Accounting, Finance, or a related field. A strong knowledge of IFRS, accounting principles, tax, and GST is required, along with advanced skills in Excel and PowerPoint. The role also involves preparing monthly dashboards and ad-hoc financial reports, and contributing to process optimization projects when needed.