Accounting Clerk at Intelliswift Software Inc
Toronto, ON M6K 1X9, Canada -
Full Time


Start Date

Immediate

Expiry Date

29 Nov, 25

Salary

21.38

Posted On

30 Aug, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Outlook, Customer Service Skills, Excel

Industry

Financial Services

Description

Job Title: Accounting Clerk
Location: Toronto, ON (1 day/week onsite)
Duration: 3 months
Contract Type: T4
Pay Rate: $21.38/Hour
Working hours: 7am-3pm EST

Role Mandate:

  • Applies accounting and control frameworks to financial data, source documents and records for transactions being reconciled in accordance with Bank and industry standards.
  • Ensures the correctness, completeness and overall integrity of financial and operational data, for internal and external books of record.
  • Performs analysis to resolve internal and external inquiries, requests and issues, for an assigned portfolio ranging from routine transactions to complex portfolio management.

Role Responsibilities:

  • Provides advice to internal business partners and peers to support the completion of a reconciliations within established procedures.
  • Perform manual matching via Reconciliation Platform (i.e. IMATCH)
  • Monitors production logs and schedules to ensure key controls are followed and exceptions are actively pursued; escalates to the manager as appropriate.
  • Monitors service delivery performance, production processes and quality, providing reports to the manager for the purpose of optimizing operational effectiveness.
  • Delivers exceptional customer service to build trust through responsive, accurate, consistent, knowledgeable and available services and support.
  • Supports change management of varying scope and type; tasks typically focused on execution and sustainment activities.
  • Processes timely and accurate transactions, audit/reconciliation transactions and resolves discrepancies according to established standards and guidelines.
  • Records and verifies data for fulfillment and/or further processing.
  • Ensures adherence to all aspects of First Principles, Code of Business Conduct and Ethics, Corporate policies, procedures and applicable regulatory requirements.
  • Reviews transactions and requests for compliance with regulatory and Bank requirements.
  • Communicates with internal partners and external customers to respond to inquiries according to guidelines; Follows-up with business units to ensure issues are resolved.
  • Supports the testing and implementation of projects and onboarding of new/revised products, services or processes.

Must Have Skills:

  • 1 – 2 years of relevant experience
  • Postsecondary degree
  • Knowledge of standard desktop applications used by the business unit
  • Outlook, Excel, Adobe
  • Prioritization skills. Good.
  • Organizational skills - Good.
  • Customer service skills. - Good.
  • Ability to multi-task in a fast-paced environment.
  • Basic specialized knowledge.

Nice to Have Skills:

  • Financial industry experience
  • Capital markets experience
  • Degree in related field (accounting/finance/etc)
Responsibilities

Role Mandate:

  • Applies accounting and control frameworks to financial data, source documents and records for transactions being reconciled in accordance with Bank and industry standards.
  • Ensures the correctness, completeness and overall integrity of financial and operational data, for internal and external books of record.
  • Performs analysis to resolve internal and external inquiries, requests and issues, for an assigned portfolio ranging from routine transactions to complex portfolio management

Role Responsibilities:

  • Provides advice to internal business partners and peers to support the completion of a reconciliations within established procedures.
  • Perform manual matching via Reconciliation Platform (i.e. IMATCH)
  • Monitors production logs and schedules to ensure key controls are followed and exceptions are actively pursued; escalates to the manager as appropriate.
  • Monitors service delivery performance, production processes and quality, providing reports to the manager for the purpose of optimizing operational effectiveness.
  • Delivers exceptional customer service to build trust through responsive, accurate, consistent, knowledgeable and available services and support.
  • Supports change management of varying scope and type; tasks typically focused on execution and sustainment activities.
  • Processes timely and accurate transactions, audit/reconciliation transactions and resolves discrepancies according to established standards and guidelines.
  • Records and verifies data for fulfillment and/or further processing.
  • Ensures adherence to all aspects of First Principles, Code of Business Conduct and Ethics, Corporate policies, procedures and applicable regulatory requirements.
  • Reviews transactions and requests for compliance with regulatory and Bank requirements.
  • Communicates with internal partners and external customers to respond to inquiries according to guidelines; Follows-up with business units to ensure issues are resolved.
  • Supports the testing and implementation of projects and onboarding of new/revised products, services or processes
Loading...