Cash Management Accountant - Superior Gas Liquids at Superior Propane
Calgary, AB T2C 5P2, Canada -
Full Time


Start Date

Immediate

Expiry Date

07 Nov, 25

Salary

0.0

Posted On

07 Aug, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Accounting

Description

WHAT WE WILL OFFER YOU:

Culture: Join a supportive and inclusive work environment where teamwork, respect, and open communication are at the core of everything we do.
Opportunity: A continuous focus on professional development with many opportunities for training & career growth.
Health & Wellness: Competitive health benefits right from the start including health & wellness spending accounts & maternity leave top-up. Access our employee assistance program for confidential counseling, mental health support, and various resources to help you navigate life’s challenges.
Competitive Compensation: We offer a highly competitive salary package, ensuring that your hard work and dedication are recognized and rewarded accordingly.
Flexibility: We understand the importance of work-life balance, we offer flexible hybrid work options to help you manage your personal and professional commitments.
Technology: Work with state-of-the-art tools and technologies that empower you to excel in your role and stay at the forefront of industry trends.
Safety Focused: We care about you and have committed to a zero-harm workplace.
Superior Gas Liquids is seeking a Cash Management Accountant to join their team. Reporting to the Controller, the Cash Management Accountant prepares daily cash flow forecasts, performs cash management activities, and assists with month end process.

Responsibilities
  • Assist with month end close processes including: preparation of journal entries and bank reconciliations; including bank transactions, G & A expenses, intercompany transactions, accruals and prepaid expenses
  • Perform daily banking responsibilities including: verifying EFT/ACH/wire templates for accuracy, ensuring timely application of vendor and supplier payments to prevent duplicates, creating new vendor banking information with sufficient backup, preparing bank reconciliations and journal entries, reconciling GL accounts daily, sending remittances to vendors and pre-authorized customers, and addressing and resolving banking issues.
  • Prepare daily cash flow forecast and communicate concerns to management; process payable invoices, advise on outgoing payments and receivables, ensure required USD funds are available, request additional funds as needed, and process online wire transfer payments with appropriate approvals.
  • Apply cash receipts from customers; ensuring receipts are applied to correct accounts and invoices. Communicate with customers for missing information, reconcile receipts with bank statements, and coordinate with AR/AP Administrators for collections while ensuring credit policies are followed.
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