Start Date
Immediate
Expiry Date
19 Nov, 25
Salary
95000.0
Posted On
20 Aug, 25
Experience
5 year(s) or above
Remote Job
Yes
Telecommute
Yes
Sponsor Visa
No
Skills
Financial Planning
Industry
Financial Services
ABOUT US
Scandinave Spa Blue Mountain offers an immersive wellness experience nestled in a quiet forest setting away from everyday interruptions. A leader in the Nordic Spa industry, Scandinave Spa Blue Mountain provides spacious indoor and outdoor spaces to explore year-round.
Situated 25-acres, the property is surrounded by mature trees and overlooks the UNESCO World Biosphere Reserve Niagara Escarpment and ski hills of Blue Mountain Resort. Special attention to detail takes guests on a relaxation journey that augments health and wellness.
QUALIFICATIONS/REQUIREMENTS
· CPA professional accounting degree.
· At least 5 years of experience in a Controller role.
· Proficiency in financial planning, budgeting, financial forecasting, and financial analysis.
· Strong leadership, communication, and team management abilities.
· Excellent analytical, organizational, and problem-solving skills.
· Experience in supervising audits conducted by external audit firms (an asset).
· Planning and organizational skills are required to achieve organizational objectives.
· Advance level of Microsoft Office Excel.
How To Apply:
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Reporting to the Finance Director, you will be directly involved in all accounting and financial activities for the division located in Blue Mountains, including financial policies, practices, and controls. You will work directly with management on business decisions and will guide and inspire an accounting team of two subordinates. Responsibilities include:
· Supervise, support and develop the accounting team.
· Lead the implementation and deployment of best practices within the department.
· Take part in decisions requiring your expertise and analytical skills to provide financial information and propose solutions to maintain and develop the company’s profitability.
· Plan, guide and coordinate the operational functions related to the accounting.
· Actively contribute and manage the compilation and reconciliation of all financial data required to prepare the company’s financial statements with precision.
· Present financial results and variance analyses according to requested timelines.
· Ensure the company’s forecast and budgeting process are performed within the established corporate timelines and procedures.
· In collaboration with the managers, perform monthly budget variance analysis of each department and develop forecasts according to performance targets.
· Supervise the management of cashflow.
· Ensure internal controls and policies’ compliance and implement corrective measures when required.
· In collaboration with the Director of Finance, establish financial policies, procedures and controls.
· Develop and maintain a good relationship with our audit firm and financial institutions.
· Promote a positive, harmonious, and professional work environment.