Accounting Manager

5 months ago


Toronto, Canada Perimeter Medical Imaging AI Full time

Salary:
**Overview**

Perimeter Medical Imaging AI is a medical technology company driven to transform cancer surgery with its ultra-high resolution imaging technology to achieve our mission of advancing the standard of care, improving patient outcomes, and reducing healthcare costs. Our ultra-high-resolution, real-time, advanced imaging tools address areas of high unmet medical need.

With headquarters in Toronto, Canada and U.S. headquarters in Dallas, Texas, Perimeter Medical Imaging (TSXV:PINK)(FSE:4PC) has launched the next generation of imaging technology that allows surgeons to visualize microscopic tissue structures with unparalleled clarity in the operating room.

**Accounting Manager**

**Work Location: This is a Hybrid role based in Toronto, Canada**

The Accounting Manager is responsible for assisting the Corporate Controller in managing and preparing accurate and timely financial reports and statements. This role is responsible for conducting financial activities including accounts payable, accounts receivable, equity accounting and general ledger review ensuring all documentation is prepared and provided to all required stakeholders. This role will also be responsible for resolving or minimizing any potential financial issues that may arise in a timely fashion and escalate, where required. In addition, this role has a key focus on compliance ranging from internal control structures to external statutory regulations.

**Responsibilities**
- Manage the listing/reporting requirements for the Company and develop the schedules for supporting accounting documents
- Prepare monthly and quarterly financial statements package
- Prepare draft financial statements along with audit working papers
- Complete TSX listing requirements under the direction of CFO, Controller, and Investor relations analyst
- Review and approve monthly bank reconciliation for the Canadian and American business entities
- Maintain equity software and produce reports for internal and external shareholders
- Perform reconciliation for AP, AR, inventory, and fixed asset subledgers to the G/L, and monitor AP and AR aging
- Support in the preparation of JE's and closing reconciliations
- Provide ad hoc financial analysis and recommendations to support business decisions
- Monitor company financial systems, processes, and control structures. Identify weaknesses and recommend appropriate improvements
- Ensure compliance with financial reporting and government standards, and all internal requirements
- Prepare and oversee all accounting-related activities including payables, receivables, and source deductions
- Maintain documentation of all financial books and records
- Gather and prepare all documentation required for interim and annual audits
- Other duties as assigned by CFO and Corporate Controller

**Qualifications**
- Post-Secondary Education in Finance, Accounting, or a related field is required
- 5+ years' experience in Financial Reporting, Management Accounting, and Corporate Finance is preferred
- 3+ years' experience in Canadian exchange reporting
- Familiarity of IFRS Accounting
- Strong working knowledge of NetSuite ERP, Excel, and Word
- Experience working in an entrepreneurial/start-up work environment
- Detail oriented, organized, and able to manage multiple competing priorities
- Proven prioritization, time management, and project management skills
- Able to work independently and as part of a collaborative team
- Strong analytical and problem-solving skills
- Superior communication skills, both written and verbal
- Strong interpersonal skills

remote work



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