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About the Company
Our client is a media and entertainment company. They are looking for a Finance Manager, Assistant Corporate Controller who will be responsible for assisting with the consolidations & external reporting of the Company.
Why Work Here
- Remote Global Team
- Entrepreneurial Culture
- Growth oriented Company
About the Opportunity
Consolidation & Reporting: 40%
-
- Responsible for all aspects of consolidation and other external reporting requirements:
- Fully own consolidation and compilation of financial statements, management discussion and analysis (MD&A) and footnote disclosures.
- Collaborate with regional and business unit controllers to collect, review, and resolve reporting issues effectively.
- File quarterly, annual reports and corporate documents with SEDAR, OTC and security commissions.
- Lead process improvements to streamline the consolidation and external reporting processes and improve information quality.
Controllership: 50%
Responsible for all aspects of accounting and finance operations:
- Fully own integrity of financial data, delivering financial information
- Manage month-end close
- Coordinate monthly and quarterly close across the Company.
- Review and post all accounting journal entries in accordance with IFRS.
- Perform all balance sheet account reconciliation and analysis
- Manage preparation and delivery of all monthly, quarterly, annual reports
- Evaluate all significant accounting transactions; research and implement relevant accounting technical standards.
- Be a Subject Matter Expert (“SME”) of IFRS, providing guidance to regional and business unit controllers.
- Manage technical accounting matters
- Ensure operational and design effectiveness of internal controls over all financial processes, maintaining a strong control environment expected of a public company.
- Compile a management reporting deck on a monthly basis.
- Perform various financial analysis
- Manage, facilitate and support auditors with the preparation of annual tax returns.
Treasury, Project Management and Others: 10%
- Monitor and manage cash flow, cash requirements, and cash investment policy across the Company.
- Assist with banking relationships.
- Manage or assist operational process improvement initiatives and projects, as requested.
About You
- Accounting designation (CPA, CA) or working toward obtaining the designation
- Public Accounting background (Big 4/6 Firms)
- Experience with Consolidations and IFRS
- 3+ years of experience
Salary Range
$90,000 - $100,000/year
How to Apply
Click the “Apply Now” button and follow the instructions to submit your resume. Please know that we only accept documents in MS Word or Rich Text formats.
When referencing this job, quote #372545
You must currently reside within the Greater Toronto Area and be permitted to work in Canada to be considered for this opportunity. A recruiter will be in touch with you if your profile meets our client’s requirements for this role.
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