Actively participate in month-end activities in support of the Corporate Controller
Prepare and analyze month-end reconciliations and schedules for balance sheet accounts (accrued liabilities, payroll and statutory remittances, intercompany, etc.)
Analyze income statement accounts related to balance sheet items
Prepare and analyze monthly financial results (actual vs budget/forecast variances)
Produce dashboards and financial presentations for management and committees
Assist in the preparation of quarterly and annual financial statements
Contribute to the annual budgeting process
Participate in budget updates and reforecasts
Support managers in monitoring their budgets and analyzing variances
Assist in preparing the external audit file
Collaborate on various corporate finance projects (due diligence, integrations, reorganizations, financial valuations)
Requirements
Bachelor's degree in Accounting or Finance
CPA designation (an asset)
Minimum 3 years of relevant in-house experience or equivalent combination
Experience in professional services (an asset)
Excellent French and English skills (spoken and written)
Advanced Excel skills and strong knowledge of the Microsoft Office suite
Experience with an ERP system (e.g., Great Plains) and a solid understanding of its operation
Team player with a collaborative mindset
Rigour, autonomy, and strong attention to detail
Excellent communication and interpersonal skills
Ability to interact with stakeholders at all levels of the organization