Accounting Specialist at LandSure Systems
Vancouver, BC, Canada -
Full Time


Start Date

Immediate

Expiry Date

16 Nov, 25

Salary

52700.0

Posted On

16 Aug, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Microsoft Office, Interpersonal Skills

Industry

Accounting

Description

Do you want to work for one of BC’s Top Employers for 2025 and join an innovative, technology-driven and growth-focused organization?
LandSure Systems Ltd. (LandSure) is looking to hire an Accounting Specialist to join our Finance division!

WHO WE ARE:

LandSure is a subsidiary of the Land Title and Survey Authority of BC (LTSA), a publicly accountable, statutory corporation that manages BC’s land title and survey systems. Our team of nearly 100 employees supports the LTSA through information system consulting services, project management, customer support, and communications.
We offer meaningful work in the public interest. In support of the Province’s 30-point housing plan, LandSure has helped the LTSA build and launch the Condo and Strata Assignment Integrity Register as well as the Land Owner Transparency Registry, a first-of-its-kind registry.
We offer an innovative, performance-driven culture. We have helped the LTSA become a leader in automated property registration and through technology, we are reducing turnaround time for customers and improving the consistency, accuracy and efficiency of the LTSA’s services. We also build and manage innovative products such as ParcelMap BC and AUTOPROP, which support access to information for the land and real estate sectors.
We offer balance. LandSure provides employees with the ability to work for a stable, independent, values-driven technology company. The environment is entrepreneurial, innovative, and fast-paced yet supportive. Our culture is of mutual respect, constantly improving our professional and personal skills, and celebrating our accomplishments.
We believe in a hybrid of remote and in-office work and know you’ll love our downtown Vancouver office as much as we do! Our employees can work either entirely in the office, or a hybrid of both remote and in-office. Therefore, applicants must currently live in British Columbia or have plans to relocate to British Columbia.
Visit landsure.ca/careers to learn more about why it’s great to work at LandSure, including 3 weeks vacation to start, a generous bonus program, and a $650 health spending account.
What you’ll do
Reporting to the Manager, Project Accounting, the Accounting Specialist provides essential support to the Customer Support and Operations teams by performing a range of clerical and administrative tasks related to financial transactions and recordkeeping. This role is responsible for customer accounts reconciliation and support, daily bank and revenue reconciliation, maintaining financial records, and ensuring data accuracy and confidentiality.
In addition, this role ensures the accurate and timely processing of various transactions, such as accounts payable, accounts receivable, and data entry, while maintaining compliance with organizational policies and regulatory standards. The Accounting Specialist contributes to the smooth operation of financial functions including interacting with Customer Support Specialists to resolve adjustments for customer deposit accounts while continuing to contribute to the overall efficiency and integrity of financial operations.

Key Responsibilities and Accountabilities

  • Perform financial processor daily transactions integration
  • Administer customer deposit account management services
  • Provide support to the Customer Support team by responding to financial-related customer queries via the Customer Relationship Management (CRM) system
  • Prepare daily and monthly accrual and revenue reconciliation reports for review and approval
  • Investigate and resolve any remittance discrepancies, NSF and chargeback issues
  • Perform daily credit card reconciliation activities
  • Provide support to issues with the financial processor system
  • Liaise with Production team to resolve issues with the financial processor system
  • Verify and process accounts payable and receivable functions.
  • Complete sales reports and sales reconciliation.
  • Maintain proper paper and digital filing system.
  • Other tasks as assigned by the Finance team
Responsibilities
  • Perform financial processor daily transactions integration
  • Administer customer deposit account management services
  • Provide support to the Customer Support team by responding to financial-related customer queries via the Customer Relationship Management (CRM) system
  • Prepare daily and monthly accrual and revenue reconciliation reports for review and approval
  • Investigate and resolve any remittance discrepancies, NSF and chargeback issues
  • Perform daily credit card reconciliation activities
  • Provide support to issues with the financial processor system
  • Liaise with Production team to resolve issues with the financial processor system
  • Verify and process accounts payable and receivable functions.
  • Complete sales reports and sales reconciliation.
  • Maintain proper paper and digital filing system.
  • Other tasks as assigned by the Finance tea
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