About the Role:
Reporting into a senior finance leader, this position is responsible for daily accounting activities, including payables, reconciliations, and general ledger support. The role plays a key part in maintaining accuracy, strengthening financial controls, and supporting month-end processes across a multi-entity environment.
What You’ll Do:
- Complete daily and monthly bank reconciliations for multiple entities.
- Manage accounts payable, including vendor setup, invoice processing, and payment runs.
- Assist with journal entries, accruals, and general ledger maintenance.
- Support month-end close by ensuring timely and accurate data entry.
- Maintain organized financial documentation and contribute to internal control compliance.
- Provide additional support to finance leadership during peak periods or special projects.
What You Bring:
- 2+ years of accounting experience.
- Comfort with routine, structured accounting workflows.
- Strong attention to detail and reliability in meeting deadlines.
- Experience working in remote environments.
- CPA not required; candidates from non-designated or internationally designated backgrounds are welcome.
- Experience in multi-entity or public-company settings is an asset.
Why Join:
This is a great opportunity to work in a steady, supportive, and collaborative environment where consistency and reliability are valued. The role provides predictable responsibilities, long-term stability, and the flexibility of fully remote work within Canada.

