Job Description :Our client in Edmonton is looking for a Senior Manager, Finance.
Must Have Primary Skills :
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Lead
the monthly and annual financial close processes to ensure accurate and
timely financial reporting.
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Prepare
and review financial statements, supporting schedules and management reports
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Ensure
compliance with applicable accounting standards and Company accounting policies
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Review
journal entries, account reconciliations and supporting documentation for
accuracy and completeness
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Analyze
financial results, identify significant variances and provide meaningful
explanations to senior leadership
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Prepare
financial reports and presentations for executive leadership as required
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Ensure
all financial transactions are accurately recorded and properly supported.
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Review
and approve complex accounting transactions and adjustments
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Maintain
fixed asset accounting, depreciation and capital project accounting.
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Maintain
fixed asset accounting, depreciation and capital project accounting.
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Ensure
balance sheet accounts are reconciled and reviewed monthly
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Coordinate
intercompany transactions and reconciliations where applicable
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A university bachelor’s degree in Accounting, or a business degree with a major in Accounting, and a Canadian CPA designation in good standing are required. An MBA is considered an asset.
Nice To Have Secondary Skills :Same as above
Proven Experience In :
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Ensure
balance sheet accounts are reconciled and reviewed monthly.
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Maintain
strong internal controls to safeguard Company assets
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Ensure
compliance with corporate policies, accounting standards, tax requirements
and regulatory obligations.
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Develop,
document and improve accounting procedures and financial controls.
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Support
internal and external audits by coordinating documentation and responding to
audit requests
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Implement
audit recommendations and monitor corrective actions
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Support
the annual budgeting and forecasting processes
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Monitor
financial performance against budget and forecast
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Provide
financial analysis to support operational and strategic decision-making
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Identify
trends, risks and opportunities impacting financial performance
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Develop
financial models and analyses to support business initiatives.
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Assist
with cash flow forecasting and working capital management
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Monitor
banking transactions and support treasury activities.
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Ensure
appropriate financial controls over cash management processes
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Identify
opportunities to improve financial systems, reporting and business processes
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Participate
in ERP enhancements, system implementations and process improvement
initiatives.
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Develop
standardized reporting and improve automation where appropriate
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Ensure
financial data integrity across accounting systems.
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Provide
technical accounting guidance and mentorship to the accounting team.
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Build
strong working relationships with operational departments to support business
objectives
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Collaborate
with other departments to ensure accurate financial reporting
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Support
cross-functional projects and strategic initiatives.
Email:
[email protected]
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