- Location
- Canada, CA
- Work mode
- On-site
- Employment
- Full-time
- Experience
- Mid-level · 0+ yrs
About the role
About the Opportunity · Reconciliation of various accounts on a daily, weekly, monthly, or yearly basis as required. · Review journal entries and perform reconciliations as needed. · Perform daily activities related to intercompany transactions. · Review balance sheet monthly, adjust accruals and prepaid accounts as needed. · Assist with month-end closing activities, including accruals, journal entries, and GL reconciliation. · Process and reconcile merchandising purchase orders (POs) and GFNR …