Financial Analyst - Toronto, Canada - West Park Healthcare Centre

Sophia Lee

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Sophia Lee

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Description

West Park Healthcare Centre helps patients get their lives back by providing specialized rehabilitative and complex care after a life‐altering illness or injury such as lung disease, amputation, stroke, and traumatic musculoskeletal injuries.


West Park is building a new hospital and transforming its 27-acre site into an integrated campus of care, enabling the hospital to evolve its rehabilitative programs to meet Ontario's future healthcare needs.


Qualifications:


  • College diploma business/accounting
  • Current enrollment in an accounting accreditation program (e.g. CGA, CMA)
  • 5 years related accounting experience
  • Experience in a healthcare environment preferred
  • Intermediate computer skills (Excel)
  • Handson knowledge of computerized accounting system preferred
  • Excellent analytical skills
  • Excellent organizational, communication and interpersonal skills
  • Ability to adapt to change in a fastpaced environment
  • Evidence of satisfactory attendance record
  • An employee's disciplinary record will be reviewed as part of the assessment of qualifications
  • Ability to work in a manner that exemplifies the centre's core values and helps patients_ get their life back_
  • Should be aware of conditions and measures that may affect the safety of patients, residents, students, employees, volunteers, physicians and visitors

Accountabilities:


  • Ensure all financial transactions affecting cost centres are accurately recorded in monthly cost centre reports within established timeframes.
  • Review cost centre reports with cost centre managers on a regular basis, analyze variances, respond to managers' requests and concerns, and make recommendations to improve data quality and accuracy.
  • Assist in preparation of forecasts and annual operating department budgets.
  • Assist in the capital budgeting and procurement processes and maintaining the capital assets subledger.
  • Analyze and reconcile targeted general ledger operating and capital accounts on a regular basis.
  • Review and prepare case costing data to ensure completeness, accuracy, timeliness and high data quality. Produce case costing reports and analysis as required.
  • Provide ad hoc analyses and costing as required, and prepare reports to external stakeholders such as MOHLTC and LHINs.
  • Provide accounting services to Foundation such as process journal entries, accounts reconciliations and internal and external financial statements

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