Opportunity Description
Position Details
What You Will Do
- Prepare regular monthly and ad‑hoc journal entries for responsible business units
- Assist in the preparation of internal and external financial statements
- Reconcile balance‑sheet accounts (e.g. high‑volume, routine transactions or low‑volume, non‑routine transactions) and investigate discrepancies
- Assist in reviewing significant variances from budget to actual
- Assist with preparing and filing regulatory reporting requirements, as necessary
- Assist in certain special projects as part of the company's continuous improvement initiatives
- Perform monthly and ad‑hoc reports and analysis for finance and other departments
- Support in‑office tasks such as processing incoming mail and cheques, preparing deposits, and generating monthly customer statements
- Hybrid position: will require coming into the Winnipeg office at least one time per week
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