About the employer
This company specializes in high-end private services (family office) and is committed to offering discreet, tailor-made, human care to prestigious clients. With a strong emphasis on service quality, trust and confidentiality, it has created a professional, caring culture focused on excellence.
Advantages
Great team spirit and pleasant atmosphere on a daily basis – A close-knit team of professionals – Exceptional working conditions and management connected to reality – Paid training offered – A company that invests in career development – Little overtime – Active social committee that regularly stimulates synergy between employees – Inclusive work environment – Structured career development with opportunities to evolve according to individual interests and strengths.
Your responsibilities in a few words!
Carry out the complete accounting cycle for several intercompany entities – Perform bank reconciliations and follow up on accounts – Prepare supplier payments by cheque and transfer – Produce GST/QST reports and other government remittances – Perform month-end journal entries – Prepare accounting year-end files – Follow up on approvals and financial documentation – Collaborate with administrative and financial teams on various accounting files – Participate in continuous improvement of accounting processes. Prepare accounting year-end files – Follow up on approvals and financial documentation – Collaborate with administrative and financial teams on various accounting files – Participate in the continuous improvement of accounting processes – Support accounting operations related to real estate and investment companies
Your assets for this position!
DEC or BAC in accounting or equivalent combination of experience
Minimum 3 to 5 years’ experience in a similar role
Experience in bookkeeping and full accounting cycle
Good command of QuickBooks online
Knowledge of Acomba software
Good command of Microsoft Office suite
Experience in a multi-entity environment
Ability to manage several files simultaneously
Experience with bank reconciliations and month-end entries
Bilingualism in French and English, written and spoken, an asset
Summary
An ideal opportunity for a rigorous and organized individual, capable of managing several files simultaneously in a stimulating and confidential multi-entity environment. You will play a key role in a collaborative and caring team where the quality of accounting follow-up, reconciliations and year-end files is essential. You will evolve in a professional environment that is both humane and instructive, working closely with a manager who is accessible and committed to the development of her team. By joining this organization, you will contribute directly to the sound financial management of a variety of entities while developing sought-after expertise in real estate, intercompany and potentially investment accounting!
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