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Top Accounting Jobs in Toronto
The Senior Director of Finance will build and scale finance and operations to drive growth and efficiency. Responsibilities include optimizing resource allocation, ensuring compliance in accounting, leading corporate development, and creating operational systems. The director will also build high-performing teams aligned with the company's objectives.
The Accounting Manager oversees general ledger accounting operations for Samsara's US business, collaborating with cross-functional teams to ensure effective internal controls and accurate financial reporting. Responsibilities include managing close processes, performing balance sheet reconciliations, and implementing accounting policies in compliance with GAAP. This role supports a team of accountants while driving efficiencies in accounting practices.
The General Ledger Accountant will manage journal entries, prepare payment requisitions, support payroll processes, perform account reconciliations, and assist in preparing financial statements while ensuring deadlines are met and inquiries are resolved.
The Staff Accountant at Intelerad will support the financial data integrity, contributing to month-end close processes, preparing journal entries, reconciling accounts, and conducting financial statement audits. They will also be involved in process improvements and have the opportunity to develop skills in financial reporting and international operations.
As an Accounting Lead, you will prepare and review workpapers, journal entries, and reconciliations, conduct analyses, support quarterly SEC reporting, improve processes for timely monthly closes, and collaborate with cross-functional teams on accounting requirements and new transactions.
The accountant role supports the Finance Team by processing accounting tasks such as maintaining records, reconciling accounts, analyzing financial data, and preparing reports. The position ensures compliance with accounting principles, assists with audits and tax filings, and collaborates with other departments to support company goals.
The Local/Regional Subject Matter Expert (SME) in Accounting/Tax/Payment/Payroll provides technical support, ensures compliance with regulations, reviews deliverables, assists in client onboarding, and conducts training for the Global Business Services (GBS) team while maintaining high-quality standards.
The Manager of Finance at Viral Nation oversees accounting operations, ensuring accuracy and efficiency in reporting and month-end close processes. Responsibilities include managing a team, maintaining accounting integrity, preparing financial reports for management, and supporting audits. This role emphasizes leadership and process improvement in a fast-paced, collaborative environment.
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The Junior Accountant will be responsible for issuing customer invoices, generating payment reminders, reconciling cash advances, and performing bank reconciliations. They will maintain customer data, assist in weekly payment processing, handle queries, and contribute to process improvements within the Accounts Receivable team.
As an Accounting & External Reporting Manager at Mondelēz International, you will manage the monthly closing process, ensuring compliance with U.S. GAAP and local regulations. Your responsibilities include leading accounting services integration, improving AER processes, managing financial reporting, and driving efficiency through projects and leadership skills.
The Senior Manager Finance provides strategic financial advice to the CFO Group, working on planning, forecasting, and reporting. This role analyzes financial trends, ensures accurate financial information, and supports cost allocation methodologies while collaborating with finance colleagues to enhance understanding of costs.
The Division Accountant will be responsible for managing financial reporting, overseeing accounting processes, and ensuring accurate reconciliation of financial data. This role involves collaborating with various departments to support financial operations and maintain compliance with accounting standards.
The Senior Technical Accounting Manager at Twilio is responsible for ensuring accurate reporting of complex financial transactions in compliance with accounting standards. This role includes performing financial analysis, providing technical accounting guidance, preparing SEC reports, maintaining internal controls, and collaborating cross-functionally within the organization.
This Accountant position involves performing period end close activities, analyzing financial data, and preparing financial reports. Responsibilities include preparing journal entries, managing day-to-day transactions like invoicing and cash disbursements, compiling financial information, and resolving billing issues. The role will also require collaboration with managers and other departments to improve accounting processes and assist with audits.
The Payroll Manager will lead a skilled team to ensure accurate and timely payroll processing. They will oversee compliance with laws and regulations, facilitate training, and enhance payroll administration procedures while fostering a collaborative work environment.
The Accountant - Associate will support various accounting functions including journal entry preparation, reconciliations, and the closing processes. They'll assist with audits, state filings, insurance transactions, and maintain relationships with state insurance departments.
The Senior Accounting & Financial Analyst will manage all accounting operations, oversee financial planning and analysis, prepare budgets, and ensure compliance with financial regulations. They will improve internal accounting systems and report on financial performance, while also leading the month-end and year-end close processes.
The Tax & Treasury Manager will oversee tax compliance and treasury functions for global operations, ensuring regulatory compliance while optimizing cash flow. Responsibilities include managing tax filings, leading tax provision processes, treasury operations, risk management, strategic planning, cross-functional collaboration, and team development.
As a Staff Accountant at Perplexity, you will manage accounts receivable and payable processes, ensuring timely invoicing and vendor payments. You'll collaborate with teams to improve workflows, assist with month-end closing, and prepare financial reports for management. Creativity in problem-solving and attention to detail are essential for this role.
As a Junior Accountant, you will manage customer invoicing, follow up on payments, reconcile accounts, and maintain customer data. You will also assist with processing payments and contribute to improving accounts receivable processes.
The Sr. Specialist II in Accounting/AR & Credit will manage accounts receivable, monitor credit reporting, collaborate with sales and legal teams, and publish KPIs for ongoing improvement. This role requires strong ownership, detailed analysis, and relationship management to enhance operational efficiency and mitigate credit risks.
The Manager, Accounting position at Mastercard involves managing the integration of a newly acquired entity, overseeing financial accounting, reporting, and operational activities, ensuring compliance and internal controls, and leading the accounting team. The role also includes process optimization and presenting findings to senior management.
The Accounting Manager will manage daily financial operations, ensure compliance with tax laws across multiple jurisdictions, oversee financial reporting for international subsidiaries, and develop best practices for accounting processes. This role emphasizes collaboration with external auditors and internal teams to streamline operations and enhance compliance efforts.
As an Accounting Associate at Jane, you will manage the accounts payable cycle using Quickbooks Online, handle bank reconciliations, reconcile credit card transactions, and support team members with financial inquiries. The role emphasizes attention to detail, process improvement, and effective communication within the team.
The Accountant will manage the complete accounting cycle for specific business units, ensuring accuracy in records, preparing financial statements, performing analyses, and ensuring tax compliance. The role includes collaborating with various departments, handling audits, and participating in process optimization projects.
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