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This role involves preparing journal entries, financial statements, and regulatory reports while supporting audits and internal analysis. It's ideal for someone with strong IFRS knowledge, insurance accounting experience, and a detail-oriented approach to financial operations.
Our client, a leading organization in the ICI construction sector, is seeking an experienced Controller to oversee financial operations and support strategic growth. This position is ideal for a proactive financial leader who thrives in a fast-paced, project-driven environment and values precision, accountability, and collaboration. This is a permanent role based in Mississauga.
The Controller position in the Construction industry requires strong expertise in Construction Accounting & Finance to oversee financial operations and ensure compliance with regulations. This Mississauga-based role involves managing financial reporting, budgeting, and supporting strategic decision-making.
The Finance Director will oversee financial planning, analysis, and reporting within the Accounting & Finance department for the business services industry. This temporary role, based in Vancouver, requires a proactive professional with a solid understanding of financial management and compliance.
This is an exciting opportunity for a Financial Director to lead the accounting and finance functions within the business services industry. The role is based in Richmond and focuses on providing strategic financial leadership to achieve organizational goals.
This role focuses on supporting the implementation and optimisation of a new ERP system across multiple business units, ensuring smooth integration of finance and supply chain processes. The position involves leading deployment projects, translating business needs into system solutions, and providing training and support for users in a global environment.
You will act as the product owner supporting the corporate finance team, reporting into an IT delivery manager.
Le Spécialiste des Lettres de Crédit jouera un rôle clé dans la gestion et le traitement du portefeuille de lettres de crédit de la banque, notamment l'émission, la confirmation et la notification des lettres de crédit Standby/Garanties ainsi que des lettres de crédit Import/Export.
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