The Junior Treasury Accountant plays a key role in supporting daily treasury operations, including cash management, bank reconciliations, and electronic payments. This role ensures accurate financial reporting, efficient disbursement processing, and adherence to internal controls across all treasury related functions.
What's in it for You?
Competitive salary
Paid vacation, sick, and personal days
Health, dental and vision benefits with enhanced mental health coverage
Discounted gym membership
Employee Assistance Program
Group life & disability insurance
50% dining discount for all O&B for you and up to 3 guests
RRSP matching
Referral Incentives
Tuition reimbursement
O&B is one of Canada's leading hospitality companies, offering a wide range of exciting internal career opportunities!
Ensure timely funding, disbursements, and transaction posting for all company bank accounts
Prepare daily, weekly, and monthly bank reconciliations for multiple bank accounts, ensuring accuracy and resolving discrepancies promptly
Issue online electronic payments for scheduled disbursements and urgent payment requests, in coordination with the Accounts Payable team
Post transactions from various payment processors and prepare reconciliations of related general ledger accounts on a weekly and monthly basis
Verify banking details and complete vendor forms on a timely manner as required
Occasionally perform in person banking tasks such as bill payments and other counter related transactions
Support the month end close process by ensuring timely and accurate reconciliation of treasury related accounts
Prepare chargeback documentation and submission for Moneris and Amex merchant accounts, including follow up and tracking
Maintain organized records and audit trails for all treasury transactions in accordance with internal controls and financial policies
Perform other related tasks as assigned by the Treasury Manager or Finance Lead
Qualifications
2+ years working experience as part of an accounting department
Strong experience in preparing bank reconciliations and cash handling procedures
Advanced Excel skills and highly organized
Able to communicate and articulate ideas clearly to multiple levels of management
Ability to work in a collaborative environment across multiple departments within the company (Billing, Payroll, A/P, Operations, Exec Management, Legal, HR, and IT)
Experience with Microsoft Navision and Jet Reports would be an asset
Experience in month-end close process and general ledger account reconciliations
Certified Professional Accounting designation completed or in progress would be an asset
Able to work in a very high transaction volume environment
Enthusiasm and commitment to meeting deadlines
Legally eligible to work in Canada
In office requirement 4 days a week (Yonge and Eglinton)
Additional Information
Oliver & Bonacini's Diversity Commitment
At Oliver & Bonacini Hospitality, we are committed to treating every employee with dignity and respect. We strive to be fair and just, and create working environments where our employees can be at their best.
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