Contribute to and support ongoing financial systems/tools for development and analysis, including dashboards and automation. Process our bi-monthly payroll.
Drive and contribute to the analysis of audit observations, identification of root causes of control deficiencies, development of meaningful observations and…
Month-end Closing/Financial Statements Consolidation: Assist the Accounting team in closing month-end and consolidating the financial statements; this includes…
Own our revenue cycle, including reviewing weekly credit card receipt to cash reconciliation records, ensuring all manually charged customers are accurately…
Provide program support to help coordinate company celebrations, events and activities. Native Shoes’ purpose to make it easy for all to live lightly extends…
A high degree of professionalism in handling sensitive and confidential materials; Strong knowledge of federal and provincial/state regulations, Employee…
Minimum of 3 years’ experience in an accounting role in a non-profit setting. Access to wellness programs (such as subscription to Headspace) , and more.
Process our supplier invoices in a timely and accurate manner, including entry of invoices into accounting systems and maintain our files in a tidy and…
Good understanding of general business acumen, pursuing a degree or certification in accounting or finance. Previous examples include: cash management strategy,…
Perform monthly bank reconciliation activity through verification of accounts regarding cash at hand and cash at bank; Manage the prepaid expense schedule;
Perform cash deposits and cash changes as required. Establish and continually audit all internal financial controls including purchasing, cash handling,…
Undergraduate degree in related discipline (i.e., finance, business). Demonstrates an ability to work autonomously, with a high degree of composure and sound…
Proper filing of reports/documents. Supporting month end, quarter end and year end functions (financial reports, reconciliation, GL data entry, follow ups,…
The Canadian Hard of Hearing Association - BC Chapter
— Vancouver, BC
Providing general support including receiving telephone and in-person calls. Financial administration including bookkeeping, petty cash, deposits, funds,…
In this role, you will be responsible for full cycle accounting for all our contracted jobs as well as development projects, accounts payable, accounts…
College degree in Business, Accounting or a related field of study. They will perform basic accounting tasks such as reconciling daily cash and receipts,…
The Payroll and Subcontractor Administrator is responsible for processing the company’s payroll and subcontractor payments. Process WCB clearance status checks;
Exceptions based on medical, religious or other valid grounds will be considered on a case by case basis. Townline offers ample opportunities for growth and…
Estimated: $45,050 -
$57,044 a year
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