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Job Location | Mississauga |
Education | Not Mentioned |
Salary | $75,000 - 85,000 per year |
Industry | Not Mentioned |
Functional Area | Not Mentioned |
Job Type | Contract |
Department: Financeamp; AccountingLocation: Mississauga, ON WHAT DO WE DOWe create solutions for the people who keep our world flowing.For over 80 years, John Brooks Company has been solving fluid handling challenges for customers in various industries/markets across Canada by providing a diverse selection of engineered products and innovative system designs, focusing on customized solutions consisting of filtration, pump, spray, and valve products.THE ROLEThis interim role is a tremendous opportunity to support a successful and fast paced organization through a new ERP implementation by taking responsibility for completing/reviewing daily, weekly and monthly activities as assigned, ensuring that the finance team delivers timely, accurate and complete compliance with all financial close and reporting requirements and meets all regulatory and insurance needs. This position will play a key role through the implementation by allowing other team members to focus on the design and delivery of John Brooks’ new Prophet 21 ERP system and will also be invited to provide direct support for data and process validation where required.The Senior Accountant will work closely with other members of the finance and other teams to reinforce finance’s capabilities and capacity throughout the ERP implementation.The successful candidate will bring up to date accounting knowledge, integrity, attention to detail and energetic but focused approach to John Brooks’ finance team to support the organization as whole as it builds upon its long history of success.DUTIESamp; RESPONSIBILITIESAccounting and Reporting· Support management of all period close activities according to period end checklist to ensure timely, accurate and complete period end processing.·Ensure all standard and ad hoc journal entries are booked in accordance with the period end calendar and are accurate and complete (including work order accrual entries/WIP accounting management).·Ensure all balance sheet accounts are formally reconciled and/or reviewed as assigned, with attached appropriate supporting documentation.·Run monthly FX revaluation process.·Book payroll journal entries within 1 week of payroll run, and always within appropriate accounting period.·Support all subsidiary accounting as needed to ensure that period closes are maintained in line with the accounting calendar.·Work closely with the Accounts Payable team to improve and maintain Received Not Vouchered and Prepaid Inventory reconciliations.·Manage all capital accounting and lease accounting.·Ensure all bank reconciliations are maintained weekly and reviewed as assigned.Banking and Cash Management·Ensure all proposed local and foreign currency payments are adequately funded (ACH, EFT, Cheque).·Manage weekly cash forecasting process.·Monitor FX rates and escalate significant fluctuations.·Manage all forward contract activity.Regulatory·Proactively identify upcoming regulatory filings and payments due and prepare/submit/review as assigned.·Preparing and filing monthly taxes (HST, QST, etc.)Expense Management ·Weekly review and processing of all expense claims submitted in Concur expense management to ensure policy compliance and validity.·Ensure all monthly corporate credit card bills are correctly coded and processed through Concur Expense Management and flag/resolve exceptions.Control Environment·Ensure strong sustainable control environment in place.·Standardize and maintain single filing location for all finance policies.Audit and Tax Support·Lead Audit Liaison and PBC Preparation.·Key contact for KPMG in annual tax preparation.ERP Implementation·Provide direct support as requested potentially including support with Dynamic and Static data transfer and validation, new report development validation and process implementation and validation.Other·Ad hoc responsibilities as assigned.RequirementsQUALIFICATIONS