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A bit about us:

Join our team in a dynamic role that involves financial reconciliation, analysis, and support. We are seeking a detail-oriented professional with a strong accounting or finance background to contribute to our financial processes. If you're looking for an opportunity to work independently, collaborate with a team, and excel in a role that offers growth potential, we want to hear from you.

Why join us?

  • Varied Responsibilities: Engage in a range of financial tasks, from reconciliations to report preparation and process improvement.
  • Team Collaboration: Be part of a collaborative team while also having the opportunity to work independently.
  • Professional Growth: Build your career by gaining experience in financial analysis and budgeting.
  • Competitive Skills: Develop proficiency in Excel, time management, research, and analysis.
  • Positive Environment: Join a team that values professionalism, confidentiality, and positive interactions.

Job Details

Join our team for a role that offers a variety of financial responsibilities and the opportunity to grow your career. You'll be part of a positive, professional environment where your skills in accounting and finance will be valued. We encourage independence, teamwork, and professional development. If you're looking to contribute to a dynamic financial department, this is the place for you.

Job Details:
  • Bank Reconciliation: Ensure timely reconciliation of corporate bank accounts and prepare corresponding journal entries.
  • Reporting: Generate regulatory and ad hoc reports and analyses as required.
  • Support Documentation: Prepare schedules and supporting documentation for rate cases and audits.
  • Internal Controls: Assist in testing and summarization of internal control processes.
  • Audit Preparation: Prepare documentation for external auditors.
  • Policy Maintenance: Update and maintain accounting policies and procedures.
  • Financial Analysis: Prepare financial analysis under management direction.
  • Fixed Assets: Maintain the fixed asset database.
  • Process Improvement: Contribute to the streamlining and automation of departmental tasks.
  • Cross Training: Act as a backup for other staff during emergencies or high-volume periods.
  • Budgeting Support: Provide support for budgeting and forecasting, including budget compilation and analysis.
  • Additional Responsibilities: Perform other accounting, financial, or administrative duties and projects as assigned.

Top 3 Requirements:
1. Education: Bachelor's degree in Accounting or Finance.
2. Experience: 2-4 years of relevant work experience in accounting or finance.
3. Skills: Proficiency in Excel, strong time management, and effective communication skills.

Five Key Skills for Success:
1. Detail Orientation: Meticulous attention to detail with the ability to see the big picture.
2. Independence and Teamwork: Capacity to work both independently and collaboratively as part of a team.
3. Excel Proficiency: Strong proficiency in Microsoft Excel.
4. Time Management: Excellent time management skills to handle competing priorities.
5. Research and Analysis: Strong research and analysis capabilities.

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