Manager, Corporate Accounting and Reporting
1 week ago
We are currently hiring a Manager, Corporate Accounting and Reporting to join our inclusive, energetic, and dynamic accounting team who exhibits our company values of integrity, respect, commitment, and passion.
Why work with us?
- You matter, we support you. We pay competitive wages and benefits, including extended health with a spending account, and dental.
- We take care of our people. You get 50% off rentals at any DRIVING FORCE location. We offer you our company RRSP matching program, to look after your future.
- Work/ Life balance is important. You get 3 weeks accrued vacation, a flexible working environment, and wellness time to focus on yourself or your loved ones.
- We want you to grow. Our fun and inclusive company culture enables our employees to grow their careers with us. You get hands-on training and a path forward in the company if you want to develop your career.
- A dynamic and collaborative work environment.
- The chance to be part of a forward-thinking team in the automotive industry.
**Duties and Responsibilities**:
- Coordinate, prepare, and distribute quarterly and annual external filings, including consolidated financial statements, accompanying notes and the management’s discussion and analysis.
- Research and resolve accounting issues including evaluation and implementation of new accounting pronouncements to ensure IFRS compliance.
- Coordinate the company’s annual audit and liaise with external auditors.
- Coordinate and prepare monthly and quarterly borrowing compliance documents, including bank covenant calculations, compliance certificates and other lending requirements.
- Develop and maintain the integrity of the financial reporting process and financial controls.
- Coordinate, develop, and update written policies and procedures over the financial reporting process and underlying operational controls.
- Plan, coordinate, and consolidate the annual budget and accompanying reporting to Senior Leaders and Board of Directors.
- Coordinate, review and prepare monthly variance reporting to executives and senior leaders of the Company.
- Oversee day-to-day cash management banking relationships and administer operational cash management activities.
- Review the monthly operational accounting and financial statements for subsidiary companies.
- Work with external tax advisors to understand and document the Company’s tax strategy and ensure regulatory compliance.
- Work closely with Senior Leaders to manage special projects, perform ad-hoc analyses, and present results of financial analysis and actionable recommendations.
**Qualifications**:
- CPA designation
- Strong technical IFRS accounting knowledge
- Experience with consolidation, financial statements, external reporting, and financial controls
- Excellent knowledge of Microsoft Excel
- Management experience considered an asset
- Knowledge of Microsoft Dynamics GP would be considered an asset
- Highly organized and significant follow through capabilities
- Strong written and oral communication skills
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