Senior Accountant, Financial Reporting
at Logel Homes
Calgary, AB, Canada -
Start Date | Expiry Date | Salary | Posted On | Experience | Skills | Telecommute | Sponsor Visa |
---|---|---|---|---|---|---|---|
Immediate | 01 Jan, 2025 | Not Specified | 03 Oct, 2024 | 3 year(s) or above | Finance,Secondary Education | No | No |
Required Visa Status:
Citizen | GC |
US Citizen | Student Visa |
H1B | CPT |
OPT | H4 Spouse of H1B |
GC Green Card |
Employment Type:
Full Time | Part Time |
Permanent | Independent - 1099 |
Contract – W2 | C2H Independent |
C2H W2 | Contract – Corp 2 Corp |
Contract to Hire – Corp 2 Corp |
Description:
Our dynamic team is seeking an adept Senior Accountant, Financial Reporter who will serve as the bedrock of our financial operations. As the vanguard of accurate financial record-keeping, you’ll wield your expertise to craft comprehensive financial statements and reports. Reporting directly to the Corporate Controller and reporting indirectly to the Assistant Controller, you’ll play a pivotal role in steering our financial success.
Logel Homes was created in 2000 to bring signature quality and value to townhome and condominium buyers. Logel Homes is proudly one of Canada’s Best Managed Company’s (Platinum Standard), the 8-time winner of Customer Insight’s Best Customer Experience and 2020,2021, 2022&2023 Multi-Family Builder of The Year. With an exciting, vibrant, and stimulating workplace within the homebuilding industry, the driven team is the embodiment of “Excellence Comes Standard”.
What you’ll be doing:
- Prepares financial statements - This includes ensuring that GL reports agree to the accounting system, that all AP and AR accruals have been made, entering costs to complete entries, and all accounts reconcile;
- First point of contact for auditors for year-end reviews and NTRs and responsible for responding to all queries.
- Records Income statement journal entries in Sage 300 and prepares all income statement working papers;
- Prepares balance sheet reconciliations and journal entries;
- Prepares detailed tie outs for all financial statements
- Prepares all balance sheet account reconciliation (except for cash reconciliation). Ensures all accounts have been reconciled and correctly classified in accordance with ASPE standards;
- Records Caseware journal entries as needed;
- Ensure all transactions are accounted for in accordance with company policies and procedures as well Provincial and Federal Laws;
- Ensure all records are properly maintained and safeguarded;
- Performs monthly analysis of overhead accounts;
- Regularly updates proforma reports for each project entity;
- Prepares financial reporting deliverables;
- Updates Price lists in the database as needed;
- Updates Inventory schedules monthly;
- Follows and completes quarterly financial reporting checklist;
- Imports project budgets in Sage 300;
- Identifies and investigates variances in budget to actuals reports;
- Proposes all closing entries for the project companies at the end-of-life cycle.
- Assist the Assistant Controller creating new jobs and cost codes in Sage 300.
- Prepares all GST returns and keeps Corporate Controller appraised of any payables and receivables. Ensures that the GST collected and ITC’s paid are being submitted monthly
- Performs detailed tie out of tax documents provided by KPMG and keeps Corporate Controller appraised of any discrepancies that might arise.
- Prepares working papers and packages for tax & GST inquiries and /or audits as needed.
Other tasks as assigned/requested by Corporate Controller/ CFO
Responsibilities:
- Prepares financial statements - This includes ensuring that GL reports agree to the accounting system, that all AP and AR accruals have been made, entering costs to complete entries, and all accounts reconcile;
- First point of contact for auditors for year-end reviews and NTRs and responsible for responding to all queries.
- Records Income statement journal entries in Sage 300 and prepares all income statement working papers;
- Prepares balance sheet reconciliations and journal entries;
- Prepares detailed tie outs for all financial statements
- Prepares all balance sheet account reconciliation (except for cash reconciliation). Ensures all accounts have been reconciled and correctly classified in accordance with ASPE standards;
- Records Caseware journal entries as needed;
- Ensure all transactions are accounted for in accordance with company policies and procedures as well Provincial and Federal Laws;
- Ensure all records are properly maintained and safeguarded;
- Performs monthly analysis of overhead accounts;
- Regularly updates proforma reports for each project entity;
- Prepares financial reporting deliverables;
- Updates Price lists in the database as needed;
- Updates Inventory schedules monthly;
- Follows and completes quarterly financial reporting checklist;
- Imports project budgets in Sage 300;
- Identifies and investigates variances in budget to actuals reports;
- Proposes all closing entries for the project companies at the end-of-life cycle.
- Assist the Assistant Controller creating new jobs and cost codes in Sage 300.
- Prepares all GST returns and keeps Corporate Controller appraised of any payables and receivables. Ensures that the GST collected and ITC’s paid are being submitted monthly
- Performs detailed tie out of tax documents provided by KPMG and keeps Corporate Controller appraised of any discrepancies that might arise.
- Prepares working papers and packages for tax & GST inquiries and /or audits as needed
REQUIREMENT SUMMARY
Min:3.0Max:8.0 year(s)
Accounting
Accounts / Finance / Tax / CS / Audit
Accounts Management
Graduate
Proficient
1
Calgary, AB, Canada