Junior Accountant, Corporate

at  Ledcor

Vancouver, BC, Canada -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate15 Feb, 2025Not Specified17 Nov, 20241 year(s) or aboveFinance,Secondary Education,Analytical SkillsNoNo
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Description:

Location: Vancouver, BC, Canada
Date Posted: Nov 14, 2024
Job ID: R22162
Job Status: Full-Time
Description
Job Summary:
We are seeking a motivated and detail-oriented individual to join our finance team. As a Junior Corporate Accountant you will be responsible for a variety of accounting duties including reconciling bank accounts, preparing month-end journal entries, maintaining the general ledger by performing account reconciliations /analysis, and GST/HST returns preparation and filing.
We are committed to the long-term success and wellbeing of our employees. Our total rewards package is designed to provide compensation and benefits programs that support your health, wellness, and financial security. We offer ongoing employee training and development, team building and career growth opportunities.
Join our True Blue team today in Vancouver, BC!

Essential Responsibilities:

  • Performs bank reconciliations and general ledger account reconciliations on a regular basis
  • Investigate, follow-up and resolve issues around bank and account reconciliations to ensure completeness and accuracy of reconciliations
  • Prepares GST/HST returns and completes net filings on a regular basis, including Canadian and US sales tax returns
  • Prepares and enters monthly journal entries, cash receipts, AR and AP to meet accounting deadlines
  • Performs monthly data integrity checks and balancing reports for GL, AR, AP, correcting where required
  • Assists with year-end audit requirements and prepare annual audit working papers and supporting documents
  • Assists with ad-hoc financial analysis and projects as required

Qualifications:

  • Minimum 1-2 years of experience in a similar role
  • Post Secondary Education in Finance or Accounting preferred
  • Previous full cycle accounting considered an asset
  • Proficiency in MS Office, with strong Excel skills for dealing with high volumes of data
  • Large ERP experience an asset
  • Strong analytical skills with an attention to detail and accuracy in working with large amount of data

Work Conditions:

  • This position offers work from home options with the understanding that at times you may be required to attend the office or travel to the project site as business needs require

Additional Information:
Company Description
The Ledcor Group of Companies is one of North America’s most diversified construction companies. Ledcor is a company built on a rich history of long-standing project successes.
But when you work for Ledcor, your experience will go far beyond the project. Do you want a career that means more? Join our True Blue team now!
Employment Equity
At Ledcor we believe diversity, equity, and inclusion should be part of everything we do. We are proud to be an equal-opportunity employer. All qualified individuals, regardless of race, color, religion, sex, national origin, sexual orientation, age, citizenship, marital status, disability, gender identity, Veteran status or any other identifying characteristic are encouraged to apply.
Our True Blue team consists of individuals from all backgrounds who contribute diverse perspectives and experiences to Ledcor. For more information about Ledcor’s Inclusion and Diversity initiatives, please visit our I&D page. Adjustments will be provided in all parts of our hiring process. Applicants need to make their needs known in advance by submitting a request via email.
1055 West Hastings St, Vancouver, B

Responsibilities:

  • Performs bank reconciliations and general ledger account reconciliations on a regular basis
  • Investigate, follow-up and resolve issues around bank and account reconciliations to ensure completeness and accuracy of reconciliations
  • Prepares GST/HST returns and completes net filings on a regular basis, including Canadian and US sales tax returns
  • Prepares and enters monthly journal entries, cash receipts, AR and AP to meet accounting deadlines
  • Performs monthly data integrity checks and balancing reports for GL, AR, AP, correcting where required
  • Assists with year-end audit requirements and prepare annual audit working papers and supporting documents
  • Assists with ad-hoc financial analysis and projects as require


REQUIREMENT SUMMARY

Min:1.0Max:2.0 year(s)

Accounting

Accounts / Finance / Tax / CS / Audit

Accounts Management

Diploma

Finance or accounting preferred

Proficient

1

Vancouver, BC, Canada