Accounting Specialist Jobs in Canada
Procom
Vancouver, BC
Processes accounts payable payments in accordance with policies and procedures by: matching invoices to purchase orders and receiving reports; verifying calculations, currency of payment, quantities and merchandise on source documents (such as invoices, expense statements and cheque requisitions); checking invoice approvals, cost centre and authority level in the system and LPO policy; entering payment information into system; reconciling payments made to suppliers’ statements; researching differences and following-up to discuss and resolve problems with suppliers; calculating and applying self assessed PST where applicable; and verifying Input Tax Credits are properly recorded. Experience in accounts payable -Experience in SAP -professional demeanor and advanced communication skills: written, verbal and presentation.
Procom
Calgary, AB
Other duties include Month End Reconciliation of Cash-related General Ledger clearing accounts, responding to queries, and providing direction and support to business units. The Cash - Receivable Accounting Administrator is responsible for providing timely processing of electronic and manual Cash applications, ensuring offsetting is completed accurately and on time.
Procom
Calgary, AB
General Administrative duties include but are not limited to photocopying, scanning, typing various communication & documentation correspondence, mass mailing, office cleanliness . Data entry:Job costing, coding, and matching for invoicing, The job will include filing, correspondence, and preparing, maintaining, and managing documents.
Procom
Toronto, ON
Client Account Maintenance Analyst, Registered Products On behalf of our client in the Banking Sector, Procom is looking for a Client Account Maintenance Analyst, Registered Products Client Account Maintenance Analyst, Registered Products – Job DescriptionResponsible for the timely acceptance, validation and preparation of client instructions and client inquiries around Registered Products (RRSP, RRIF, RESP, etc.) . Client Account Maintenance Analyst, Registered Products – Assignment Start Date ASAP - 6 months to start Client Account Maintenance Analyst, Registered Products – Assignment Location Toronto, ON – Work Hybrid
Maha's Restaurant
$28.39 Per Hour
Toronto, ON
MAHA’S a popular Egyptian restaurant at 224-226 Greenwood Avenue, Toronto ON are urgently seeking a detailed oriented BOOKKEEPER to join our team. Assist the Accounting Manager in the preparation of the audit and budget by providing related documentation, prepare accounting summaries and report compiling statistics.
Forest Ridge Inc. dba La Presserie
$65000 - $75000 YEAR
Toronto, ON
In addition to supporting the finance group, the successful candidate would support other functional areas including the projects team and manufacturing. The accounting technician would be required to very using various procedures financial transactions and support the CFO as required.
Canwest Tax and Business Consultants Inc
$23 Per Hour
Edmonton, AB
Prepare general ledger, Manage accounts receivable, Prepare trial balance, Store, update and retrieve financial data, Perform clerical duties, such as maintain filing and record systems, Perform general office duties, Address customers' complaints or concerns, Prepare reports. 10532 - 178 Street Suite 200.
Scandinavian Building Services
Thunder Bay, ON
Operations Management; Managing operational activity planning, directing, organizing, and controlling all activities in assigned locations ensuring full completion of scope of work. People Management; Handling all personnel issues for the hourly Cleaners at your sites for both internal and subcontractors including; scheduling, conflicts, hiring, training, performance management, and disciplinary action.
TalentBurst Inc
Oakville, ON
Tracks order acknowledgement, prepares and communicates shortage and backlog reports, and provides visibility of potential interruptions to internal customers. • Ensures that the items and services are purchased from specified suppliers and are delivered according to agreed terms and conditions.
SRI Tech Solutions
Montreal, QC
Expert understanding on integration of the various components within the Financial Accounting (FI) module such as General Ledger (FI-GL), Accounts Receivable (FI-AR), Accounts Payable (FI-AP), New Asset Accounting (FI-AA New), Financial Supply Chain Management (FSCM), Bank Communication Management (BCM), and Treasury Management (TRM), as well as their integration with other SAP Modules. Expertise in configuration and implementation of Financial Accounting (FI), Management Accounting (CO), Financial Supply Chain Management (FSCM), Bank Communication Management (BCM), Asset Accounting, and Treasury and Risk Management (TRM).