Junior Staff Accountant
at HUB International
Chilliwack, BC V2R 5R7, Canada -
Start Date | Expiry Date | Salary | Posted On | Experience | Skills | Telecommute | Sponsor Visa |
---|---|---|---|---|---|---|---|
Immediate | 01 May, 2025 | USD 29 Annual | 01 Feb, 2025 | 1 year(s) or above | Good communication skills | No | No |
Required Visa Status:
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US Citizen | Student Visa |
H1B | CPT |
OPT | H4 Spouse of H1B |
GC Green Card |
Employment Type:
Full Time | Part Time |
Permanent | Independent - 1099 |
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C2H W2 | Contract – Corp 2 Corp |
Contract to Hire – Corp 2 Corp |
Description:
Hi, we’re HUB. We are proud to be ranked 5th among the world’s largest insurance brokerages, advising businesses and individuals on how to prepare for the unexpected. At HUB we believe in investing in the future of our employees. Our entrepreneurial culture fosters an environment of open feedback and improvement that empowers our people to make the best decisions for our clients and organization.
We are currently hiring a Junior Staff Accountant in the Hub Financial Center (HFC), the centralized accounting team for HUB International. The Junior Staff Accountant reports to the Accounting & Compliance Supervisor and is responsible for assisting with monthly closing processes, preparing journal entries, bank reconciliations, and balance sheet reconciliations.
EDUCATION REQUIREMENTS
- Bachelor’s Degree in Accounting/Finance, or currently pursuing.
- Interest in, or currently pursuing CPA designation preferred
Responsibilities:
- Assist with the month-end closing process and running of reports for all Broker Management system(s) and GL system(s) within the accounting center.
- Build your understanding of the balance sheet account reconciliation process, to prepare reconciliations that are accurate, compliant, and timely. Assist with researching reconciling items to resolution.
- Prepare accurate and timely bank account reconciliations within established deadlines. Support the research of bank account reconciling items and communicate to respective teams for resolution.
- Assist with ensuring that GL offsets and supporting source adjustments are identified and cleared prior to deadline; follow-up on timely clearing of all reconciling transactions.
- Prepare and record journal entries for both the Broker Management system(s) and GL system(s).
- Prepare and/or assist with various monthly and quarterly accruals, adjustments, and bad debt calculations.
- Complete the Fixed Asset module close process and balancing to General Ledger.
- Opportunity for involvement in various accounting system processes.
- Run and distribute month end and ad-hoc reports.
- Research and analyze data as requested; perform other duties as assigned.
REQUIREMENT SUMMARY
Min:1.0Max:2.0 year(s)
Accounting
Accounts / Finance / Tax / CS / Audit
Accounts Management
Graduate
Proficient
1
Chilliwack, BC V2R 5R7, Canada