94 résultats pour Directeur Des Operations Services Financiers
Directeur des finances<p>Mandat de 18 mois pour un remplacement de congé de maternité.</p><p><br></p><p>Nous recherchons un directeur des finances pour gérer la comptabilité générale pour notre client dans le domaine de l'importation et de la distribution ainsi que de ses compagnies satellites (5) et ses holdings (5).</p><p><br></p><p>Responsabilités:</p><p>• Responsable du département des finances et de l’informatique – équipe de 10 personnes</p><p>• Supervision du cycle comptable complet (facturation, comptes à recevoir et à payer, paies, conformité gouvernementale (TPS-TVQ, DAS, etc.) selon les normes comptables pour les entreprises à capital fermé (NCECF) et les principes comptables généralement reconnus (GAAP)</p><p>• Coordonner et préparer le budget annuel de la compagnie (budgété mensuellement avec flux de trésorerie), global et par division d’affaires</p><p>• Coordonner, préparer, et analyser les états financiers (analyser les résultats et donner des explications sur les écarts) et les présenter à la direction</p><p>• Préparer des états financiers internes par département / division d’affaires</p><p>• Mise en place d’indicateur de performance, tableaux de bord mensuels et annuels</p><p>• Proposer des solutions pour améliorer les différents processus et mettre à jour les contrôles internes en place et de réduire le délai de production des états financiers mensuels et le développement d’outil pertinent </p><p>• Faire des analyses ponctuelles de rentabilité et des études d’opportunités spécifiques </p><p>• Évaluer différents projets d’investissement et contrôler leur implémentation </p><p>• Prendre en charge le financement des sociétés, soit effectuer les demandes de financement, le suivi des renouvellements et s’assurer des meilleures conditions en matière de gestion de ces derniers </p><p>• Gérer les flux de trésorerie et l’exposition au risque de change</p><p>• Responsable des dossiers de fin d’années pour le groupe d’entreprise (Mission d’examen et Mission de compilation) et veiller à leur bon déroulement auprès du vérificateur externe</p><p>• Veiller aux bonnes relations avec les auditeurs et aux liaisons avec le gouvernement, les institutions financières et les courtiers en assurances </p><p>• Suivre et analyser des subventions et autres crédits </p><p>• Responsable des dossiers spéciaux (fusion administrative, vérification fiscale, vérification douanière, amélioration informatique)</p><p>• Favoriser un bon environnement de travail au sein de l’équipe </p><p>• Exécuter tout autres tâches connexes</p>Directeur(trice) en comptabilité et finances<p>OBNL </p><p>Centre-ville de Montréal </p><p><br></p><p>Notre client, une grande organisation à but non lucratif au centre-ville de Montréal cherche un(e) directeur(trice) en comptabilité et finances. La personne sera responsable d’une petite équipe en comptabilité, de la préparation des états financiers, de mettre les contrôles internes en place, amélioration des processus et surtout des projets! Très bon package salarial. Présentiel 4 jours par semaine.</p>Directeur des finances<p>Notre client, un organisme à but non lucratif ayant une cause très humanitaire, se cherche un directeur financier pour prendre charge de l’ensemble des responsabilités financières de l’organisation. Située au centre-ville de Montréal, l’entreprise offre une belle qualité de vie et un environnement de travail très positif. Le poste se rapportant directement au Directeur Général, nous cherchons quelqu’un qui sera bien dans ce rôle pendant de nombreuses années. Cherche un minimum de 10 ans d’expérience, excellent français avec un anglais fonctionnel, une expérience avec le cycle comptable complet et une attitude positive ! Si vous cherchez à joindre une organisation qui fait vraiment une différence dans notre société, voici votre chance. Salaire au marché + avantages.</p>Comptable principal<p>Superbe opportunité de joindre une entreprise bien établie à Québec. Sous la supervision du directeur général et en collaboration avec l'équipe des finances du siège social, le comptable principal a pour responsabilité de coordonner le travail de l'équipe et veiller à l'intégrité des informations comptables. Le comptable principale contrôle et finalise le cycle comptanble, il assure le lien entre les opérations du site et l'équipe des finances du siège social. Le comptabel principal aura pour mandat d'assurer une continuité des opérations et développer son équipe, améliorer les méthodes de travail et hamoniser les processus avec ceux du groupe.</p><p><br></p><p>RESPONSABILITÉS :</p><p><br></p><p>• Coordonner et encadrer une équipe de 5 personnes;</p><p>• Effectuer la conciliation bancaire;</p><p>• Balancer les comptes de GL;</p><p>• Contrôler les mouvements d'inventaires;</p><p>• Élaborer et analyser les états financiers périodiques ainsi que divers rapports trimestriels;</p><p>• Assurer le maintien et le développement des contrôles internes;</p><p>• Participer au décompte d'inventaire;</p><p>• Effectuer divers suivis de dossiers de gestion administrative;</p><p>• Participer sur une base ponctuelle à différents projets spéciaux tel que migration logiciel, projet d'amélioration de processus, etc;</p>Senior Finance Manager<p>Our client in the manufacturing industry is seeking a Senior Finance Manager, for their Plant Operations. They would be responsible for providing leadership in driving financial processes, measurements, and analytics to support plant operations in achieving their financial targets and key initiatives. In addition to working very closely with the Corporate Finance leadership team, the Senior Finance Manager will partner with the Canadian and US Directors of Operations in: </p><p> </p><p>-Developing common company-wide operating metrics and best tools.</p><p>-Deploying management systems to support achievement of financial & operational targets.</p><p>-Driving/supporting operational continuously improvement, leveraging financial analytics and models.</p><p>-Supporting the assessment and prioritization of required investments across the organization in new business activities and initiatives to improve operating efficiencies.</p><p>-Developing and training of financial staff to support operational excellence.</p><p> </p><p><strong>RESPONSIBILITIES WILL INCLUDE:</strong></p><p><strong> </strong></p><p>· Drive processes in support of the forecast & budgeting activities at the plant level, ensuring appropriate linkages between financial and operating metrics.</p><p>· Implement management systems to support achievement of key plant initiatives.</p><p>· Leadership in identifying risks/opportunities and providing headlights on financial trends and variances to forecasts/budgets.</p><p>· Provide financial and business advice & recommendations to the plant management teams to support driving operational excellence and achievement of targets.</p><p>· Ownership for deploying common financial tools and standardized processes & reporting to support achievement of profit targets and plant operating initiatives.</p><p>· Support the plants in performing risk assessments and develop, support & monitor business control requirements to ensure risks are effectively mitigated.</p><p>· Leadership in assessing and identifying any control issues and partner with plant management team to develop solutions and train staff on control requirements</p>Finance Manager<p>Our esteemed client, situated in the vibrant Lower Mainland of Vancouver, BC, is actively seeking a dedicated Finance Manager to join their dynamic team. This pivotal role will directly report to the Vice President of Finance, assuming a critical position in orchestrating month-end processes and crafting comprehensive financial statements. Beyond traditional duties, this role offers an exciting opportunity to innovate, refine operational frameworks, and champion efficiencies. Embracing a hybrid work model, the Finance Manager will enjoy a balanced blend of remote and in-office collaboration.</p><p><br></p><p><strong>Responsibilities:</strong></p><ul><li>Spearhead the meticulous preparation of monthly consolidations and financial statements, ensuring accuracy and adherence to regulatory standards.</li><li>Exercise diligent oversight over the month-end procedures, meticulously curating workbooks to comprehensively account for the entire balance sheet.</li><li>Supervise and meticulously review all journal entries and transactions recorded within the general ledger, maintaining the highest standards of precision.</li><li>Drive efficiency in inventory management, overseeing monthly cycle counts and bolstering adherence to control protocols.</li><li>Conduct thorough financial analysis, offering invaluable insights into variances and emerging trends.</li><li>Contribute to the meticulous year-end budgeting process, leveraging expertise to refine forecasting methodologies.</li><li>Serve as the resident subject matter expert during review engagements conducted by external accounting firms, offering guidance and insight.</li><li>Methodically document all accounting procedures, cultivating a repository of best practices and procedural guidelines.</li><li>Champion process enhancements, actively participating in the implementation of streamlined workflows.</li><li>Collaborate in the integration of robust controls, fortifying the financial framework against risk.</li><li>Contribute to ERP improvement projects, leveraging expertise to optimize system functionality.</li><li>Facilitate day-to-day cash management operations, ensuring liquidity needs are met with precision.</li><li>Undertake additional responsibilities as dictated by operational exigencies.</li></ul><p><br></p><p><br></p>Contrôleur financier<p>Superbe opportunité de joindre une entreprise financièrement solide, oeuvrant dans la fabrication et la distribution de matériaux de construction située à Sherbrooke. Sous la supervision du directeur des finances, le contrôleur financier supervisera une équipe de comptabilité, il finalisera les états financiers, il contrôlera les informations financières, participera aux projet spéciaux et agira comme personne ressource pour les partenaires externes tel que les assureurs et banquiers. Nous recherchons un CPA possédant un expérience pertinente à titre de contrôleur financier et participer à la croissance de l'organisation.</p><p><br></p><p>RESPONSABILITÉS :</p><p><br></p><p>• Établir et analyser les états financiers;</p><p>• Effectuer et suivre les budgets;</p><p>• Encadrer l'équipe de comptabilité;</p><p>• Gérer la trésorerie;</p><p>• Agir comme personne ressources pour les partenaires internes et externes pour la fonction finances;</p><p>• Veiller au développement et au maintien du système de contrôles internes</p><p>• Produire les rapports financier et analyses requise pour supporter la prise de décisions;</p><p>• Participer aux projets de développement et d'amélioration continue, automaistion de tâches, développement de KPI, recherches etc.</p>Financial Planning & Analysis Manager<p>Robert Half is looking for a FP& A Manager to join our Well -Established Global Client!</p><p>The ideal candidate will have deep analytical capabilities, strong verbal and writing skills, and the ability to multitask and work under multiple tight deadlines at once. If you are an experienced FP& A Manager looking for a challenging role at an established company, this may be the role for you.</p><p><br></p><p>How you will make an impact</p><p><br></p><p>- Examine fiscal and budget assumptions in the development of operating plans</p><p><br></p><p>As key member of the operations group , you will be reporting to Sr. Finance Director and Operations to help facilitate the Annual Budget process, and meeting strategic objectives </p><p><br></p><p>Key Accountabilities:</p><p>• Lead the coordination and preparation of monthly forecast for senior leadership, while providing actionable insights into financial performance for the operations team.</p><p>* Report on Key Performance Indicators, offering comprehensive analysis to drive informed decision-making </p><p>• Spearhead special projects, conducting ad hoc financial analysis and providing support to various departments as required </p><p>* Maintain robust financial models supporting annual planning, monthly forecasting, and strategic decision-making by utilizing advanced Business Intelligence (BI) tools to deliver insightful analytics and drive day to day data-driven business decisions </p><p>Must have a strong business and financial acumen, with the ability to align business requirements with financial objectives and drive strategic growth initiatives</p><p><br></p>Directeur financier et administration<p>Superbe opportunité de joindre un organisme caritatif ayant des projets dans plusieurs pays. Sous la supervision du DG et faisant partie de l'équipe de direction, le directeur financier et administratif encadre une équipe solide et autonome. Il contribue au développement des systèmes et apporte une vision financière dans l'établissement des orientations, objectifs et priorités de l'organisme. Nous recherchons un professionnel de la comptabilité et des finances bilingue, expérimenté et faisant preuve d'une approche participative du leadership favorisant la responsabilisation des ressources. Si vous êtes stimulé par les valeurs d'entraide et de coopération et posséder un bagage d'expérience de 15 ans et plus communiquez avec nous.</p><p><br></p><p>RESPONSABILITÉS : </p><p><br></p><p>• Superviser les activités comptables et financières de l'organisation autant sur place qu'à l'internationale; </p><p>• Assurer la coordination du travail comptable et financier entre la maison mère et les équipes à l'international; </p><p>• Contribuer au développement de l'organisme en matière de gouvernance, saine gestion financières, budgétisation, contrôles des risques et processus comptable; </p><p>• Assurer une gestion responsable des fonds;</p><p>• Veiller à ce que les budgets soient gérés de manière responsable et en conformité avec les engagements, loi et règlement en vigueur ainsi qu'en respect des valeurs et de la mission de l'organisme; </p><p>• Veiller à ce que les pratiques, processus et système de gestion financière et de contrôles de risques soient opérés en respect des politiques, normes, procédures et règles internes autant sur place qu'à l'international; </p><p>• Diriger les dossiers de vérifications internes et externes; </p><p>• Présenter les informations financières au CA et soutenir la direction dans la croissance de l'organisme;</p><p>• Veiller au maintien et à l'amélioration continue des pratiques de gestion administrative de l'organisme; </p><p>• Apporter sa contribution dans les différents projets spéciaux de développement interne.</p>VP, Loan Administration<p>Our client, an international financial institution, offers a broad range of financial services centered on banking. They are also engaged in the leasing, securities, credit card, investment, mortgage securitization, venture capital and other credit related businesses. They are currently seeking a VP Loan Administration for their Toronto office. While there are no direct reports for this role as of yet, the incumbent must have 3+ years of experience in managing a small team. </p><p><br></p><p>This role requires an initial in-office training period. After completing the training, the position will transition to a hybrid model, with three days per week in the office.</p><p><strong> </strong></p><p><strong>Snapshot of the Role:</strong></p><p>The VP, Loan Administration will act as a team lead and will assist and support the Vice President/Team Leader(department head) to manage and guide the operations of the department, including but not limited to monitoring and maintaining the relevant credit information of each customer within the Loan IQ application and our client’s proprietary credit application platform. Perform operational processing and support to commercial lending, focused on monitoring and servicing commercial and business loan transactions that service a portfolio of corporate participation and syndicated loans. Review, prepare and finalize loan documents ahead of the disbursement of funds; verify that documentation and work processes are complete and conform to policy. This position is also responsible for managing daily operations, overseeing, and checking daily functions of the Loan Administrators.</p>Accounting Manager<p>Robert Half is seeking a strong Accounting Manager who is eager, and determined for one of our clients in the Real Estate industry. This Accounting Manager engagement is a contract-to-permanent opportunity and will require the individual with immediate availability. In this Accounting Manager role, you will be responsible for leading daily operations, including preparing and/or reviewing appropriate ledger entries and reconciliations, maintaining the general ledger system, and preparing monthly and annual financial statements for both the corporate office as well as client portfolios. Stationed in <strong>Surrey, British Columbia</strong>, this job opening is a tremendous opportunity for candidates who would prefer to work with a company that is on the active growth path.</p><p><br></p><p>You will be supervise and manage a team of two, while reporting directly to the ownership of the company. Your responsibilities</p><p><br></p><ul><li>Manage and support the accounting staff in month-end tasks</li><li>Prepare month-end financial reports for the Board Deck Overseeing the reconciliation and reviewing appropriate ledger entries</li><li>Overseeing cash flow management and treasury Performing data analysis and metrics reporting</li><li>Monthly and quarterly debt compliance reporting</li><li>Leading year-end audit and budget preparation</li><li>Perform payroll month-end entries and reconciliation</li></ul>VP Finance<p>If you're driven by high expectations this could be the job for you. You might be a good fit for this position if you thrive in a role where integrity, reliability and leadership are valued. If you want to work for a successful company, Robert Half has an opportunity for a VP Finance to take responsibility for an accounting and clerical department. Based in the Toronto, Ontario area, this opening for a VP Finance is a permanent position. To succeed in this role, you will need to plan and direct all accounting operational functions, handle the accumulation and consolidation of financial data for internal and external financial statements, evaluate accounting and internal control systems, and lead departmental staff. This position is for candidates who can effectively manage self and others within strict time constraints when providing client services, lead while also being a team player, generate innovative ideas, and challenge the status quo. Do you want exceptional compensation and benefits and potential for career growth? This is a good position for you.</p><p><br></p><p>Your responsibilities</p><p><br></p><p>- Analyze, apply and improve policies, procedures, controls and most methodologies</p><p><br></p><p>- Handle daily cash management and produce cash-flow reports, calculating cash needs at weekly and monthly intervals</p><p><br></p><p>- Manage the creation of and monthly monitoring of the annual budget and forecasts</p><p><br></p><p>- Perform tasks associated with month-end and year-end close of income statement and balance sheet, account reconciliations & G/L analysis</p><p><br></p><p>- Drive the timing for monthly billing and other cash management techniques to ensure the timely cash collection</p><p><br></p><p>- Advance Finance Department initiatives, such as software and systems implementation and other departmental or firm-wide improvements, as needed, with research, planning and implementation</p><p><br></p><p>- Manage finance department operations, including accounts payable, billings & collections, and payroll</p><p><br></p><p>- Manage the production of the annual budget and forecasts and monitor on a monthly basis</p><p><br></p><p>- Evaluate, apply and refine policies, procedures, controls and most methodologies</p><p><br></p><p>- Ensure client satisfaction by reviewing deliverables of self and team</p><p><br></p><p>- Support Finance Department initiatives, including software and systems implementation and other departmental or firm-wide improvements, through research, planning and implementation, as needed</p>Accounting Manager<p>Our client is a full-service Real Estate company with a strong history working on some of the largest and most breathtaking projects in North America. With more than 400 acres in our growing portfolio, our client operates over 4 million square feet of commercial space with over 3.5 million square feet of commercial and residential space under construction.</p><p>This role is based out of their corporate office, located in Downtown Vancouver, and offer a collaborative work environment in a modern office setting with the flexibility to work 1-2 days from home.</p><p><br></p><p><strong>About the role</strong></p><p>Reporting to the Controller, the Accounting Manager will manage full cycle reporting, maintain and improve processes and controls as well as support a team of accounting professionals working on a growing portfolio of commercial and rental properties. This individual will be an integral part of the team and should be detail-oriented, self-motivated and have the desire to work with a dynamic and fast paced.</p><p><br></p><p><strong>Primary responsibilities</strong></p><p>• Oversee accounting function within the assigned commercial portfolio.</p><p>• Manage day to day activities of a team of property accountants and a portfolio of properties.</p><p>• Responsible for timely and accurate completion of annual, quarterly and monthly activities, by reviewing, providing feedback, being hands on when necessary, on the following:</p><p>o Monthly close and reports</p><p>o Quarterly reports</p><p>o Annual budgets</p><p>o Annual CAM reconciliations billings</p><p>• Prepares reports to senior management with insightful analysis of financial results and issues that arise.</p><p>• Ensure timely and accurate completion of all monthly, quarterly and annual internal/external financial statements and reports.</p><p>• Collaborate with internal teams (operations, construction, leasing, finance, etc.) within the organization to translate property level actions into accurate financial results while adhering to financial reporting requirements.</p><p>• Assists in external audits, ensuring PBCs are provided in a timely and accurate manner.</p><p>• Continuously educate and communicate with internal teams on various accounting policies and internal control requirements.</p><p><br></p><p><strong>Managerial / Supervisory responsibilities:</strong></p><p>• Provide guidance and training to the existing team and new members.</p><p>• Monitor team performance and provide feedback to drive improvement and administering performance evaluations.</p><p><br></p><p><strong>Ad Hoc duties / Responsibilities:</strong></p><p>• Support IPP Finance and Accounting teams with special projects and ad-hoc analysis</p><p>• Take on special projects and analysis as required.</p><p>• Contribute to improvements in departmental processes, internal controls and team development.</p><p>• Other ad hoc duties as assigned.</p><p><br></p><p><br></p>Operations Controller<p>Are you ready to take charge of financial operations and special projects within a thriving and dynamic organization in Abbotsford? We are seeking an Operations Controller to join a stable, innovative company, which offers a flexible and positive working environment! This full-time permanent role promises a thrilling journey through diverse projects, exciting challenges, and a collaborative atmosphere.</p><p><br></p><p><strong>Day to day duties: </strong></p><p><br></p><p>· Prepare work-in-progress reports, providing timely analysis to the project management team.</p><p>· Review and evaluate project progress based on the percentage of completion method.</p><p>· Ensure project forecasts align with cash flow requirements and client billings.</p><p>· Monitor costs, delivering detailed analysis to the finance and operations team.</p><p>· Control budgets periodically, providing detailed cost reporting updates to the finance & operations department.</p><p>· Manage a stellar team of three staff overseeing financial aspects of all programs and projects.</p><p>· Apply percentage completion revenue recognition for projects in CAD & USD.</p><p>· Monthly calculations and monitoring of Work in Progress, Cost Goods Sold, Deferred Revenue, and other relevant GL Accounts.</p><p>· Report monthly project-based reporting and analysis to Project Managers and Leadership.</p><p>· Drive budgeting and forecasting for all projects and programs.</p><p>· Manage the billing team, ensuring compliance with various invoicing requirements.</p><p>· Provide comprehensive financial reporting for projects and programs.</p><p>· Ensure alignment with organization portfolio controls governance and objectives.</p><p>· Assist with updating projections on cash flows, resource plans, and contingency usage.</p><p>· Define work scope, prepare schedules, and budgets for various-sized projects.</p><p>· Assist with adhoc financial reporting tasks, as required. </p>Controller - Operations<p>Are you a finance aficionado with a knack for operational finesse? We're seeking an operationally focused Controller to join our client's dynamic team and spearhead financial strategies that drive success. As Controller, you'll be at the helm of the finance department, orchestrating a symphony of financial operations with precision.</p><p><br></p><p>Key Responsibilities:</p><ul><li>Team Leadership: Lead and inspire our finance team by overseeing recruitment, nurturing professional growth, and fostering a positive workplace culture. Your leadership will be instrumental in driving performance excellence.</li><li>Financial Reporting: Craft monthly and annual financial statements that offer insights into our financial health. You'll analyze trends, conduct variance analysis, and ensure accuracy in financial reporting.</li><li>Operational Controls: Develop and implement policies and processes to fortify operational and financial controls in line with industry best practices. Your keen eye for detail will minimize risks and uphold integrity in financial transactions and reporting.</li><li>Budget Management: Take charge of the annual budget process, collaborating with management and department leads to collect, analyze, and consolidate financial data. Your strategic approach will guide effective resource allocation.</li><li>Audit Coordination: Coordinate the annual year-end review, preparing meticulous working papers and supporting documentation. Your thoroughness will ensure compliance and transparency.</li><li>Inventory Oversight: Enhance inventory control procedures and provide oversight over inventory counts. Your optimizations will streamline operations and mitigate inventory-related risks.</li><li>Compliance Assurance: Ensure adherence to federal, provincial, and municipal remittance and tax reporting requirements. Your vigilance will safeguard regulatory compliance.</li><li>IT Systems Maintenance: Spearhead the maintenance and upgrading of IT systems, ensuring seamless integration of new accounts and enhancements to financial reporting systems.</li><li>Financial Insights: Provide management with timely and relevant financial data for informed decision-making, performance monitoring, financial analyses, and cash projections.</li><li>Stakeholder Engagement: Cultivate professional relationships with senior leadership, management teams, and departments, fostering collaboration and alignment towards organizational goals.</li></ul><p><br></p>Analyste financier principal<p>Notre client est un leader mondial dans le développement de solutions logicielles pour des services d'ingénierie, y compris la formation logicielle, la migration, la mise en œuvre et le développement personnalisé, ainsi que le conseil.</p><p><br></p><p>Sommaire du poste (contrat d'un an) :</p><p>Nous recherchons un analyste financier principal – opérations de vente, motivé et soucieux du détail, pour un remplacement d'un an en congé de maternité à notre bureau de Montréal. Dans ce rôle, vous jouerez un rôle déterminant dans l'optimisation de l'efficacité opérationnelle et la croissance de l'entreprise tout en contribuant à des projets critiques, notamment la mise en œuvre de nouveaux systèmes logiciels et l'amélioration des processus.</p><p><br></p><p>Responsabilités:</p><p><br></p><p>• Établir et favoriser des partenariats commerciaux solides avec les équipes des opérations commerciales, des finances et des ventes, ainsi qu'avec tous les départements et parties prenantes internes et externes pour prendre des décisions commerciales efficaces.</p><p>Gestion du changement et optimisation des flux de travail</p><p>• Développer et affiner les contrôles commerciaux, les politiques, les procédures et les meilleures pratiques pour maximiser les ventes et les performances financières conformément aux capacités d'un tout nouveau système ERP (NetSuite).</p><p>• Soutenir l'équipe de mise en œuvre de l'ERP dans la phase finale avant la mise en ligne et garantir un lancement réussi en co-gérant le processus de gestion du changement dans les domaines concernés et en pilotant les nouveaux flux de travail et les améliorations des processus dans le cycle Order to Cash.</p><p>Gestion des régimes de commissions</p><p>• Travailler sur la mise en œuvre d'un nouveau logiciel de gestion de la rémunération incitative, la transition du système existant et l'intégration avec le nouvel ERP (NetSuite)</p><p>• Collaborer avec la direction des ventes pour affiner et optimiser l'application d'un nouveau plan de rémunération incitative.</p><p>• Examiner le calcul mensuel des commissions pour garantir l'exactitude des informations préparées par l'équipe de gestion des commandes.</p><p>Examen des commandes clients et des marges</p>Finance Manager<p>Robert Half Management Resources is the worldwide leader in specialized consulting and staffing services for senior-level accounting, finance, and business systems professionals. </p><p><br></p><p>Our Ottawa area client is currently looking for an Interim Part-Time Bilingual Controller. </p><p>This is a 6-month engagement offering a hybrid work model. </p><p><br></p><p><br></p><p>The Bilingual Controller will be responsible for:</p><p>-Review all expenses and prepare reports and present financial reports to the Finance Committee and attend Committee meetings</p><p>-Manage budgeting and financial planning processes and collaborate with Finance Directors on financial audits.</p><p>-Ensure compliance with financial policies and regulations, compliance with budgets and accurate categorization of expenses, as well as overseeing day-to-day accounting activities, including bookkeeping, accounts payable and receivable, and payroll.</p><p>-Collaborate with Finance Directors on financial audits.</p><p>-Provide financial advice and support and suggest continuous improvement initiatives for financial processes.</p><p>-Other duties as needed </p><p><br></p>Manager, Financial Planning and Analysis<p>Our client based in Vancouver, is looking for a Senior Manager, Financial Planning and Analysis (FP& A) (Treasury business partner).</p><p><br></p><p>Our client, is seeking a dynamic individual to spearhead finance support for their Treasury Group. As a crucial liaison, you'll immerse yourself in understanding Treasury's intricate financial landscape, offering invaluable insights and strategic guidance. From real estate lending to managing fixed income assets, you'll play a pivotal role in shaping our financial operations and influencing strategic decisions. If you thrive in a fast-paced environment, possess a strong technical foundation, and enjoy collaborating closely with business units, we want to hear from you! </p><p><br></p><p><strong>What you'll be doing:</strong></p><p><br></p><ul><li>As an integral leader within the Finance function, the Senior Manager will:</li><li>Develop and foster a dynamic environment focused on being agile and flexible to best support the growing and changing needs of the business,</li><li>Create an environment that empowers team members and enables them to realize their full potential and value,</li><li>Provide senior level finance support to the Treasury Group</li><li>Build relationships with senior leaders in Treasury, gaining a deep knowledge of that area and providing insight into financial data that influences decision-making. </li><li>Act as financial advisor for Treasury business units by providing advice on structuring of potential new products and services, product pricing and other financial considerations.</li><li>Extensive knowledge of the Treasury products, processes and controls, balance sheet and earnings at both the Group and the product level, providing insights of drivers and influencers of financial results; both historically and forward looking.</li><li>Responsible for appropriate financial information and communication with Treasury through strong collaboration with various finance team members and leverage of their information and reporting. </li><li>Deliver results professionally and clearly, highlighting key assumptions and potential risks to drive and support recommendations for business decisions.</li><li>Support the FP& A team in the annual budget and rolling quarterly forecasts for the Treasury Group and support Finance members in inputs required for Capital planning and monitoring. </li><li>Work closely with the Treasury Administration team that provides daily settlement of Treasury transactions and reconciliations.</li><li>Advise on technical accounting for Treasury products with the assistance of other Finance teams. </li></ul><p><br></p>Directeur(trice) de fiscalité et aides gouvernementales<p>Notre client, une PME dans l’industrie du service le souci du détail située au Centre-Ville, cherche à ajouter un poste de Directeur principal à son équipe. Dans ce rôle, vous vous rapporterez directement à la CFO et serez principalement en charge de l’optimisation des systèmes informatiques et des processus d’information financière, tout en supervisant les divers contrôleurs divisionnaires dans l’équipe. Une approche ‘’consultation/projets’’ permettra au candidat sélectionné de travailler sur des projets de développement de systèmes, l’unification des bases de données et des grands livres, l’amélioration des processus de montage des états financiers, participer aux processus d’acquisitions d’entreprises ainsi qu’à leurs intégrations, l’optimisation des processus d’affaire, etc. Nous recherchons un candidat d’expérience qui pourra amener ses diverses connaissances au profit de cette entreprise en grande croissance et en constant changement.</p>Contrôleur corporatif<p>Superbe opportunité de joindre un groupe d'envergure international dont les bureaux sont à Québec. Sous la supervision du vice-président des finances et en collaboration avec l'équipe de comptabilité de gestion, le contrôleur corporatif sera responsable de l'équipe comptable, de produire les états financiers statutaires de sa région et de la consolidation groupe. Le contrôleur corporatif assure la fiabilité des informations financières, il est responsable de tous les volets de finance corporative et apporte un apport au niveau du processus de budgétisation groupe. Faisant parti d'un important groupe, le contrôleur corporatif couvre un large spectre de responsabilité sans toutefois vivre les inconvénients d'être le seul à mener sa barque. </p><p><br></p><p>RESPONSABILITÉS :</p><p><br></p><p>• Encadrer, superviser et développer l'équipe comptable des opérations canadiennes;</p><p>• Établir périodiquement les états financiers consolidés;</p><p>• Balancer et réconcilier mensuellement le bilan;</p><p>• Coordonner le processus de fin d'année financière;</p><p>• Assurer la gestion des liquidités;</p><p>• Gérer, suivre et maintenir les protections et couvertures financières (assurances et cautionnements);</p><p>• Maintenir et développer les contrôles internes sous sa responsabilité;</p><p>• Participer au processus de budgétisation et prévisions financières;</p><p>• Veiller au développement et à l'optimisation continue des processus sous sa responsabilité;</p><p>• Veiller à maintenir et favoriser les valeurs de rigueur financière dans son équipe.</p>Plant Controller<p>Our client is an established and successful Canadian manufacturing company with plants across Canada, as well as in the US. Due to exciting growth through a recent acquisition, they are looking to hire a Plant Controller who will manage the finance function for the Brantford location as well as another plant in Eastern Canada. <strong>This is a hybrid role, requiring 3-4 days onsite.</strong></p><p><br></p><p>The Plant Controller reports to the Group Controller and manages an overall team of 6 direct reports based at the two plants. The Plant Controller is responsible for full cycle accounting and month end close for both plants, as well as supporting the Plant Manager and local Operations staff. As the Plant Controller, you are responsible for inventory management, analysis of production cost variances and budgeting/forecasting. To be considered for the role of Plant Controller, you must be a CPA with 5+ years of accounting experience in a manufacturing environment, including 2+ years of people management. You should be a driven individual who sees this as an opportunity to grow your career and also be involved in corporate functions. You are a CPA with a successful track record for being a Finance Business Partner who consistently delivers value to Operations. Strong ERP and Excel experience is mandatory for this role.</p>Contrôleur<p>OSBL – Milieu culturel </p><p>35h par semaine</p><p><br></p><p>Notre client, une organisation à but non lucratif dans l’est de Montréal, recherche un directeur(ice) des finances pour remplacer un employé partant à la retraite. La personne sera en charge de la préparation des états financiers, du cycle comptable complet, de la conformité des opérations comptables, de plusieurs dossiers administratifs en plus de prodiguer plusieurs conseils au comité d’administration. </p><p>JO# : 05130-0012957944</p>Senior Manager Financial Reporting<p>Our professional services client in the downtown core is seeking a Senior Manager, Financial Reporting to join their outstanding team. <strong>This role requires you to be onsite 5 days per week</strong>. This role reports directly into the President/CEO and has 5 direct reports.</p><p> </p><p><strong>Snapshot of the Role:</strong></p><p>The Senior Manager, Financial Reporting, will act as a fractional Chief Financial Officer (CFO) for both internal and external clients where engaged to provide such services, and will be required to certify the annual and quarterly financial statements and MD& A. The Senior Manager Financial Reporting will also assist on all strategic and tactical matters as they relate to budget management, job costing, forecasting needs and securing of new clients. This role operates within a dynamic environment, catering to clients with diverse reporting schedules. It offers an exceptional opportunity for broad exposure across various industries and clientele.</p>Analyste financierNotre client, une compagnie en mode acquisition dans le domaine du service, est à la recherche d’un analyste financier pour rejoindre son équipe dynamique. Ce dernier aura la charge de la préparation des états financiers, du processus budgétaire, de la mise en place de nouveau outils de suivi de performance financière, et finalement, d’optimiser les processus internes de l’équipe. L’analyste financier devra avoir un titre de CPA ou du moins, être en voie de l’obtenir. <br><br>Il s’agit d’une belle opportunité pour quelqu’un qui cherche un emploi stimulant dans un environnement convivial.<br><br>Possibilités d’avancements à l’interne et très beau poste axé vers les opérations. Salaire et avantages sociaux compétitifs / Télétravail une journée par semaine!<br><br><br>TÂCHES : <br><br>• Préparer et analyser différents segments des États Financiers<br>• Offrir des analyses pour la gestion de la flotte de véhicules<br>• Développer des outils facilitant la prise de décisions pour la flotte de véhicules<br>• Améliorer l’utilisation du système ERP<br>• Participer à l’établissement de procédure durable entre les départements<br>• Participer à l’améliorer du « package financier »<br>• Participer à la mise en place et l’amélioration des différents contrôles internesAudit Manager<p>Robert Half is currently working with a non profit client seeking a Finance Manager for an interim opportunity. If you are interested and have non profit and/or property management experience, please apply below.</p><p><br></p><p>Major responsibilities</p><p><br></p><ul><li>Assist with reviewing social enterprises to possibly close certain locations</li><li>Plan and implement a variety of risk-based internal audits to ensure effective and appropriate internal controls are in place.</li><li>Develop audit programs and perform various types of financial, performance, operational, and comprehensive assurance engagements to assess the effectiveness of internal controls, risk management practices, and the efficiency of operations.</li><li>Assess risk and provide recommendations to improve existing policies and procedures, ensuring that internal controls and systems operate effectively and efficiently. </li><li>Liaise with stakeholders regarding internal control compliance and risk matters, such as the overall quality of internal controls efficiency, risk management, best practices, findings and recommendations of internal audit and risk assessment work.</li><li>Prepare audit reports and document findings; present and communicate audit results to varying levels of management and/or the Board. </li></ul>