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Our client is seeking a Intermediate Accountant for a two-month contract in Vancouver. This role provides critical support for a quarter-end reporting cycle during a period of significant organizational growth. This role has the potential to convert to a permanent position after the duration of the contract. If you're looking to make an immediate impact in a fast-growing organization, this could be a great opportunity for you.
Job Responsibility:
Full-Cycle Bank Reconciliations: Clear a significant volume of bank reconciliations, investigating and resolving discrepancies between bank statements and Sage 300 records
Intercompany Management: Reconcile accounts across multiple entities, ensuring all "due to/due from" balances match and that cross-entity payments are accurately recorded
Automated AP Integration: Manage the flow of invoices
specifically ensuring automated charges (like utilities and recurring bills) are correctly coded and synced to the General Ledger
Journal Entry Ownership: Prepare and post complex adjusting, accrual, and recurring journal entries to maintain real-time accuracy of the ledger
Financial Investigation: Utilize Sage 300 to independently track down unposted bill payments and identify gaps in the financial record without heavy supervision
Requirements:
Direct, proficient experience with Sage 300
3+ years of full-cycle accounting experience at an intermediate level
Strong understanding of intercompany reconciliations and multi-entity environments
Ability to work autonomously and demonstrate resourcefulness in a fast-paced, high-growth setting
What we offer:
Hybrid flexibility after an initial onboarding period
The opportunity to make an immediate impact in an exciting organization
Potential to convert to a permanent position following the contract duration