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Key skills for this role
Responsible for maintaining the integrity of the general ledger, preparing journal entries, reconciling balance sheet accounts, supporting month-end and year-end closes, assisting with financial reporting, and ensuring compliance with accounting policies, Canadian ASPE and GAAP. Responsibilities align closely with the accounting activities described in recent GL Accountant candidate reviews.
Key Responsibilities
Prepare and post journal entries.
Perform monthly balance sheet account reconciliations.
Complete month-end and year-end close activities.
Analyze P&L and balance sheet fluctuations and explain variances.
Maintain general ledger accuracy and account mappings.
Prepare and support financial statements and management reports.
Reconcile bank accounts and intercompany balances.
Maintain fixed asset records and depreciation schedules.
Support external and internal audits.
Assist with budgeting and forecasting processes.
Research and resolve accounting discrepancies.
Ensure compliance with Canadian ASPE, GAAP and company accounting policies.
Develop and maintain accounting procedures and SOPs
Preferred Qualifications
Qualified Accountant (CPA)
Bachelor's degree in Accounting or Finance.
2–5+ years of accounting experience.
Strong understanding of General Ledger accounting and month-end close.
Experience with ERP systems such as Business Central, SAP, QuickBooks, Microsoft Dynamics, or similar platforms
Advanced Excel skills (Pivot Tables, VLOOKUP/XLOOKUP, reconciliations
Strong analytical, problem-solving, and organizational skills.
Responsible for maintaining the integrity of the general ledger, preparing journal entries, reconciling balance sheet accounts, supporting month-end and year-end closes, assisting with financial reporting, and ensuring compliance with accounting policies, Canadian ASPE and GAAP. Responsibilities align closely with the accounting activities described in recent GL Accountant candidate reviews.
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More from this employer
Irving, USA
Montréal, CAN
Omega Holdings is hiring a Product Program Manager to support automotive and heavy-duty product lines across its portfolio companies. The role focuses on coverage expansion, market and pricing analysis, vendor communicat
Irving, USA
Irving, USA
Irving, USA
Irving, USA
Irving, USA
, CAN
Montréal, CAN
, CAN
Key Responsibilities
Prepare and post journal entries.
Perform monthly balance sheet account reconciliations.
Complete month-end and year-end close activities.
Analyze P&L and balance sheet fluctuations and explain variances.
Maintain general ledger accuracy and account mappings.
Prepare and support financial statements and management reports.
Reconcile bank accounts and intercompany balances.
Maintain fixed asset records and depreciation schedules.
Support external and internal audits.
Assist with budgeting and forecasting processes.
Research and resolve accounting discrepancies.
Ensure compliance with Canadian ASPE, GAAP and company accounting policies.
Develop and maintain accounting procedures and SOPs
Preferred Qualifications
Qualified Accountant (CPA)
Bachelor's degree in Accounting or Finance.
2–5+ years of accounting experience.
Strong understanding of General Ledger accounting and month-end close.
Experience with ERP systems such as Business Central, SAP, QuickBooks, Microsoft Dynamics, or similar platforms
Advanced Excel skills (Pivot Tables, VLOOKUP/XLOOKUP, reconciliations
Strong analytical, problem-solving, and organizational skills.
Verified company details for this employer are not available yet.
Full-time
Entry · 2+ years experience
Onsite
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