Job Description
ABOUT BROCK::
The Brock Group is a leading provider of industrial specialty services to clients around the world, with headquarters in Houston, TX, and operating units in Canada, the United States, and Latin America. With the Canadian head office in Nisku, the company supports routine maintenance, turnarounds, and industrial capital projects by providing services including scaffolding and work access, insulation, fireproofing, and asbestos abatement, for general maintenance, construction, turnarounds, and shutdowns to western Canadian producers.
SUMMARY::
The Accounting Technician (JR Accountant) will be a part of a Finance team that delivers accurate financial reporting, improves financial processes and takes part in the audits of financial information. They will be responsible for month-end duties, document control, department/interdepartmental support, GL account management and they will report to the Regional Controller.
Minimum Required Qualifications: :
- A Business Diploma or Degree; or working towards obtaining one
- Strong problem solving, analytical and organizational skills with the ability to prioritize multiple tasks independently
- Ability to maintain the highest level of professionalism with strong ethics and standards
- Organized and detail oriented
- Must be able to multi-task and meet deadlines
- Professional and concise communication in written and oral form
- Strong computer skills and proficient in Excel, Word, Outlook and PowerPoint
- Experience with an accounting program or enterprise resource planning application is a plus
- Self-motivated, and able to work independently or with a team in a fast-paced environment
- Good analytical skills and willingness to learn
Essential Functions: :- Integral part of the day-to-day, month-end and year-end financial reporting duties; including various account reconciliations (e.g. bank accounts, prepaid expenses) and accruals (obtaining information, creating entries and ensuring proper support documents are in place).
- Prepare invoices for intercompany transactions
- Prepare and file GST, PST and other tax remittances
- Entering transactions into the SAP B1 accounting software
- Assist in the preparation of year-end review files for outside auditors
- Involvement in special projects related to the Finance department
- Gathers project accruals and provisions information as needed
- Ability to communicate effectively both verbally and in writing with customers and employees in a professional manner
- Perform other duties as assigned
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