Store Accountant at White Spot Hospitality Limited
Vancouver, BC, Canada -
Full Time


Start Date

Immediate

Expiry Date

11 Nov, 25

Salary

50000.0

Posted On

12 Aug, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Dental Care, Excel, Disability Insurance, Life Insurance, Microsoft Office, Sage, Vision Care

Industry

Accounting

Description

White Spot Limited is headquartered in Vancouver, British Columbia and serves more than 17 million guests annually from its two White Spot Hospitality brands, White Spot and Triple O’s, which operates restaurants in British Columbia, Alberta, and Ontario. White Spot is proud to be recognized as one of Canada’s Best Managed Companies for fifteen consecutive years, achieving Platinum status.
White Spot is currently looking for a STORE ACCOUNTANT team member for its Finance department. The position is a permanent, full-time position that requires working predominantly at our Home Office located at 8223 Sherbrooke Street, Vancouver. At White Spot, if you aren’t directly serving our guests, you are supporting someone who does. The successful candidate will thrive in an office where the people are friendly but focused!

SKILLS AND EXPERIENCE REQUIRED

· Previous accounting work experience
· Microsoft Office (Excel a must)
· Data entry speed and accuracy (alpha and numeric)
· Strong written and verbal communications skills including an effective command of the English language
Job Types: Full-time, Permanent
Pay: $50,000.00-$53,000.00 per year

Benefits:

  • Casual dress
  • Dental care
  • Disability insurance
  • Employee assistance program
  • Extended health care
  • Life insurance
  • On-site parking
  • RRSP match
  • Vision care

Application question(s):

  • Do you have experience using Sage 300?

Experience:

  • Accounting: 2 years (required)

Work Location: In perso

How To Apply:

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Responsibilities

Sales & Settlements
o Reviewing, reconciling, recording daily transactions for corporate restaurants (settlements, receivables, gift cards, transfers, inventory, paid outs)
o Communicating directly with corporate managers to resolve transaction issues and provide guidance on accounting procedures
Journal Entries
o Preparing weekly & period end adjusting entries
Other Duties
o G/L reconciliations, A/R, A/P, filing and temporary reception relief as required

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