Responsibilities:
Management of finance functions
Preparation of actual monthly, quarterly and yearly, P&L, balance sheet and cashflow Statements
Support Director of Finance during yearly budget (P&L, BS and cash flow) and rolling forecast
Profitability analysis by customer/service
Manufacturing cost analysis by plant/service
Maintenance of financial ledgers and accounting processes
Timely production of statutory and internal financial reports
Cash management and treasury duties
Prepared and file monthly government remittance including GST, PST, corporate tax instalments, source deductions and WorkSafeBC
Requirements & Qualifications:
At least 5+ years’ experience in similar position
Must have a CPA, CA/CGA/CMA professional accounting designation
Knowledge SAP-B1 and strong Excel skills
IFRS experience
Strong financial analytical mindset experience
Flexible and results-oriented
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