Payroll technician at Fed Finance
Montréal, QC, Canada -
Full Time


Start Date

Immediate

Expiry Date

09 Dec, 25

Salary

55000.0

Posted On

10 Sep, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Accounting

Description

Founded in 2001, Fed Finance is a recruitment firm specializing in temporary and permanent placements in accounting and finance. We are committed to supporting you throughout your job search and at every stage of your career.

YOUR MISSIONS

Hello, my name is Océane, Recruitment and Business Development Advisor at Fed Finance, a recruitment firm specializing in accounting, finance, and payroll roles.
I am currently looking for a Payroll Technician for an accounting firm located downtown Montreal, near the Square Victoria metro station. This firm has about twenty employees and is constantly growing.

Responsibilities:

  • Participate in the full payroll processing cycle for the firm’s various clients.
  • Review and validate the accuracy of accounting entries sent to the general ledger (GL).
  • Serve as the primary contact for clients regarding payroll and employee benefits inquiries.
  • Maintain direct communication with clients to perform necessary follow-ups.
  • Prepare year-end reports.
  • Provide support to the bookkeeping team by assisting with certain accounting entries.
  • Perform the monthly reconciliation of the group insurance invoice, ensuring that billed amounts correspond to payroll deductions and employee data.
Responsibilities
  • Participate in the full payroll processing cycle for the firm’s various clients.
  • Review and validate the accuracy of accounting entries sent to the general ledger (GL).
  • Serve as the primary contact for clients regarding payroll and employee benefits inquiries.
  • Maintain direct communication with clients to perform necessary follow-ups.
  • Prepare year-end reports.
  • Provide support to the bookkeeping team by assisting with certain accounting entries.
  • Perform the monthly reconciliation of the group insurance invoice, ensuring that billed amounts correspond to payroll deductions and employee data
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