Bookkeeper at Werner Smith Mechanical Inc
Coquitlam, BC V3K 7A1, Canada -
Full Time


Start Date

Immediate

Expiry Date

04 Dec, 25

Salary

27.0

Posted On

04 Sep, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Accounting

Description

POSITION SUMMARY

Werner Smith Mechanical’s fully on-site Bookkeeper plays a crucial role in supporting the company’s financial operations. This role is responsible for executing the timely and accurate day-to-day accounting functions including financial reporting, transaction processing, reconciliations, payroll, and various other accounting tasks so that the company has accurate information for making critical decisions and ensuring regulatory compliance.
As our company continues to grow, we would love to work with someone who enjoys process improvement and takes the initiative to make recommendations for improvement.
This full-time position reports to the Operations Manager and works closely with the Finance and Accounting Manager to gain valuable hands-on experience maintaining detailed financial records.

ABOUT US

Werner Smith Mechanical is a growing mechanical contracting company that has been servicing the lower mainland and BC coast for over 40 years. With our class leading reputation and our high level of proficiency with mechanical systems, WSMhas become a highly sought-after service provider within the local mechanical and HVAC industries. We use the most up to date technology to provide the best experience possible for both our team members and our customers.
WSM is always looking for the brightest and best career-oriented team members; so, if you’re looking for a long-term position where you can join and grow with the rest of our team, we want to hear from you!
Job Types: Full-time, Permanent
Pay: $27.00-$32.00 per hour
Expected hours: 40 per week
Work Location: In perso

Responsibilities

Transaction Processing

  • Process high-volume technician reports and invoices in QuickBooks to support ongoing operational priorities
  • Post journal entries to ensure accurately recorded financial transactions
  • Track and record accounts receivable and follow up on outstanding receivables monthly
  • Pay vendors, identify discount opportunities, and resolve discrepancies

Reconciliations

  • Complete monthly GST filings to ensure timely submissions
  • Complete bank and credit card reconciliations
  • Verify expense reports and post accurately

Budgeting and Financial Statement Preparation

  • Compile financial information and results to assist with annual tax filings and financial statement preparation
  • Assist with the budgeting process of operational assets, providing valuable insights based on close operational knowledge
  • Prepare weekly cash flow forecasts
  • Liaise with other team members, supporting day-to-day tasks and budget monitoring

Payroll

  • Process bi-weekly payroll for approximately 40 union and non-union employees, verifying timesheets and expenses, calculating benefits, and ensuring regulatory compliance
  • Complete government and union remittances
Loading...