Accountant
- Employer
- Bridgehouse Asset Manager
- Location
- Toronto (Region), Ontario
- Salary
- Market rate depending on experience + bonus + benefits + RSP contribution
- Posted
- September 3, 2024
- Closes
- October 3, 2024
- Job Sectors
- Financial Services and Consulting
- Job Type
- Full-time
- CPA status
- CPA Member
Contact Details
- Prepare and post various journal entries.
- Calculate sales commissions and post journal entries.
- Responsible for accounts receivables; review invoices, post journal entries, apply payments, and monitor aged accounts receivable.
- Prepare monthly and quarterly invoices for sub-advisory partners.
- Prepare annual seed capital roll forward.
- Work with U.S. Parent to complete month end closing.
- Review accounting on supplier invoices and expense reports.
- Provide back up of other team members role which includes; accounts payable, bank deposits, process payments to suppliers, process all personal and corporate travel expense reports, assist with monthly commodity tax and corporate tax return preparation.
- Assist with the annual budgeting and monthly forecasting processes.
- Responsible for researching new regulatory and financial reporting requirements to ensure that corporate complies with IFRS/GAAP.
- Assist with the year-end audit for the corporation. Work with external auditors to complete the annual audit of the corporation and prepare year-end working papers as required.
- Provide senior management team with timely and relevant reporting for business monitoring and decision-making.
- Build strong relationships with Fund Services, Sales, Product, Marketing and Operations departments. Provide support through the provision of analysis and reporting.
- Participate in various process improvement projects for the organization.
EDUCATION and/or EXPERIENCE
- Bachelor's degree, preferably in Business Administration or Finance. Professional designation such as CPA preferred. 3 - 5 years’ experience in a Finance role.