Our client is a leading global provider of fund & asset intelligence for commercial real estate. This role provides an opportunity to play a key role in preparing and consolidating financial schedules, manage accurate corporate reporting, and interact with various finance teams worldwide.
Support the monthly, quarterly, and annual closing procedures, consolidations and preparation of financial statements.
Prepare adjustments to divisional data on a monthly, quarterly, and year-end basis to ensure precise internal and external reporting aligned with Company accounting policies.
Collaborate in preparing quarterly and annual consolidated financial statements, including comprehensive note disclosures.
Participate in streamlining the consolidated intercompany reconciliation process.
Analyze the impact of foreign exchange fluctuations on diverse financial statement categories.
Manage financial reporting protocols and policies, continuously integrating optimal practices to enhance reporting accuracy and punctuality.
Develop monthly consolidated internal financial statements, also aiding in the creation of monthly variance analysis.
Assist with working papers and reports for calculating tax provisions and facilitating tax return submissions.
Compile and analyze complex spreadsheets with large data volumes.
Assist in exploring and evaluating technical accounting approaches for novel or unique transactions, as well as emerging accounting pronouncements when needed.
Collaborate with both internal and external auditors to provide working papers and addressing audit inquiries.
Play a role in enhancing and implementing financial systems like ERP and consolidation tools.
Generate on-demand analysis and reports to back the senior finance management team or business units when necessary.
Bachelor's Degree in Finance, Accounting, or related field.
CPA (CA/CGA) with Big 4 background - preferred.
At least 3 years of hands-on experience.
Proficient understanding of applicable IFRS and OSC/TSX reporting requirements.
Ability to handle complex technical accounting areas such as multi-currency consolidations and foreign exchange transactions.
Exposure to other GAAPs (e.g., US, UK) and reporting requirements is an asset.
Familiarity with SOX controls and Workday is considered a plus.
Ability to work independently with a strong sense of integrity and attention to detail.
Our client is a leading global provider of fund & asset intelligence for commercial real estate. This role provides an opportunity to play a vital role in the preparation of financial statements, analysis, and interactions with various finance teams worldwide.
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