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Accounting Manager

Jagger

MississaugaFull-timeMid LevelOn-site

Job Description

Our client, a rapidly growing startup based in Mississauga is looking for an Accounting Manager to join the team!

In this role, you will own day-to-day accounting: general ledger, month-end close, financial reporting, accounts payable, and cash management. Reporting directly into the CFO.

What you'll do

  • Write accounting policies and procedures, and build the right internal controls for the company's size and stage
  • Roll out AI tools across accounting and finance - close, reconciliations, documentation, and transactions - in a way that's controlled and easy to audit
  • Run month-end close and prepare monthly financial statements (accruals, prepaid expenses, depreciation)
  • Maintain the general ledger and chart of accounts, record transactions, and reconcile bank, credit card, and balance sheet accounts
  • Handle payroll accounting and related accruals, and take on payroll processing and remittances as the function grows

Purchasing & Payments

  • Lead the selection and rollout of a purchasing system that connects with the accounting platform
  • Build approval, receiving, and matching workflows, including spending limits and documentation standards
  • Track and report on open purchase commitments
  • Manage accounts payable, corporate cards, and expense reimbursements โ€” vendor setup, invoice processing, payment runs, and policy compliance

Cost & Project Accounting

  • Help the CFO design the company's cost accounting framework
  • Maintain project accounting, cost allocation, and timekeeping processes
  • Prepare cost reports by program and department

Tax, Grants & Outside Advisors

  • Manage R&D tax credit claims with outside consultants, working toward doing this in-house over time
  • Track and document eligible costs for grants and funding programs, and prepare claims and reports
  • Be the main point of contact with outside tax advisors, and help manage insurance renewals

Cash Management

  • Prepare and maintain a rolling cash flow forecast
  • Manage daily cash across Canadian and U.S. dollar accounts โ€” currency conversion, cash positioning, banking, and collecting grant receivables

Required

  • 6+ years of accounting experience
  • Can run a full accounting cycle solo - month-end close through financial statements
  • Experience building accounting processes or controls somewhere they didn't already exist
  • Experience at an early-stage or fast-growing company
  • Real experience using AI tools at work, and good judgment about applying them to whole processes, not just one-off tasks

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