Financial Accountant at Gescan
Calgary, AB T2Z 3X2, Canada -
Full Time


Start Date

Immediate

Expiry Date

22 Sep, 25

Salary

0.0

Posted On

22 Jun, 25

Experience

3 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Journal Entries, Preparation, Variance Analysis, Financial Analysis, Sap, Accruals, Groups, Adjustments, Computer Skills, Power Bi, Financial Statements, Decision Making

Industry

Financial Services

Description

ABOUT US:

With over 60 years of industry experience, Gescan has 29 branches located across Western Canada. At Gescan, we leverage our strong global resource base, our local expertise, and our family-oriented values to deliver the best service to our customers and suppliers.
We are a proud member of the Sonepar Group, the world’s largest privately-held electrical distributor. The Sonepar Group is present in more than 40 countries with over 45,000 employees. In Canada, we are represented by 9 locally managed electrical and industrial distributors and have over 110 locations with coverage in 8 provinces.
To explore and learn more about Sonepar opportunities, please visit www.career.sonepar.com

REQUIREMENTS:

  • A Bachelor’s degree in Business Administration, with an accounting option;

  • 3-5 years experience in a similar position, ideally in a retail or distribution business;

  • The ability to analyze and summarize information to understand findings and issues;
  • An analytical mind and detail oriented; inquisitive, with the ability to work conscientiously and consistently;
  • Ability to work in close collaboration with a variety of individuals and groups;
  • Strong computer skills including Office suite, Excel spreadsheets, Power BI.
  • Experience with Infor SX and SAP an asset.

Month End / Year End cut-off requirements including journal entries, accruals and adjustments

  • Preparation of monthly, quarterly, annual Financial Statements
  • Variance analysis
  • Balance sheet reconciliation
  • Fixed Asset control and management
  • Quarterly forecasts
  • Annual budget
  • Margin integrity/daily review
  • Provide financial analysis as required to senior/branch/operations managers to drive improved decision making
  • Support Branch Managers in financial matters
  • Special Projects as require
Responsibilities
  • Month End / Year End cut-off requirements including journal entries, accruals and adjustments

  • Preparation of monthly, quarterly, annual Financial Statements

  • Variance analysis
  • Balance sheet reconciliation
  • Fixed Asset control and management
  • Quarterly forecasts
  • Annual budget
  • Margin integrity/daily review
  • Provide financial analysis as required to senior/branch/operations managers to drive improved decision making
  • Support Branch Managers in financial matters
  • Special Projects as required
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