Accounting Summer Student at Rohit Group
Edmonton, Alberta, Canada -
Full Time


Start Date

Immediate

Expiry Date

19 Jun, 26

Salary

0.0

Posted On

21 Mar, 26

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

General Ledger Accounting, Reconciliations, Financial Reporting, Revenue Processing, Payment Processing, Invoice Recording, Journal Entries, Intercompany Transactions, Bank Reconciliation, Accounts Payable, Accounts Receivable, Financial Statements Preparation, Tax Calculation, Expense Reporting, Documentation Maintenance, Process Improvement

Industry

Real Estate

Description
As an Accounting Summer Student, you will support the day-to-day financial operations of the business—ensuring transactions are recorded accurately, accounts are reconciled, and financial information is reliable. You will work alongside the accounting team to process real transactions across multiple entities, gaining hands-on experience in general ledger accounting, reconciliations, and financial reporting. This role is built for someone who takes pride in getting the details right—and wants to understand how those details build into financial results. ESSENTIAL FUNCTIONS You may work on projects that assist with any of the following: Revenue, Payments, and General Accounting ·         Post revenue, payments, and direct deposits accurately and timely ·         Record invoices and journal entries, including intercompany transactions ·         Assist with analysis and reconciliation of general ledger accounts ·         Perform bank, accounts payable, and accounts receivable reconciliations ·         Support preparation of quarterly financial statements for smaller entities ·         Assist with reconciliation of intercompany balances   Tax & Compliance Support ·         Assist in calculation and tracking of GST and PST ·         Support preparation of tax remittances and documentation   Employee Expenses ·         Maintain employee expense system and documentation ·         Assist with recording and reconciliation of corporate credit card transactions ·         Support monthly expense reporting processes   General Support ·         Organize and maintain financial documentation and audit trails ·         Assist with ad hoc accounting tasks and process improvements Performs other related duties as assigned.
Responsibilities
The student will support daily financial operations by accurately recording transactions, reconciling accounts, and ensuring the reliability of financial information across multiple entities. Key tasks include processing revenue and payments, recording journal entries, and assisting with general ledger reconciliations and financial statement preparation.
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