Accountant managing reconciliations and financial reporting for eCommerce finance team at AlgaeCal. Collaborating on monthly financials and driving process improvements in a fast-paced environment.
Responsibilities
Reconcile bank, credit card, AP/AR, GL transactions
Prepare full monthly financials and deliver variance analysis
Maintain capital asset registers and manage schedules
Contribute to audits and support month-end closes
Identify inefficiencies and propose automation solutions
Requirements
Proven track record of 2+ years of accounting or finance experience
Strong proficiency in QuickBooks Online
Ability to create pivot tables, VLOOKUPs, SUMIFs
Familiarity with G-Suite
Detail-oriented with a focus on accuracy
Experience with full-cycle bookkeeping and month-end closes
Knowledge of tax obligations and filing deadlines
Ability to document SOPs and improve processes
Benefits
A generous healthcare package
Monthly team events and activities
Flexible Stat Holidays with the option to bank days for later use
Weekly team lunches
Casual dress code
Incredible dog friendly, Yaletown office one block from SkyTrain
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