Corporate Finance Manager - Toronto, Canada - G Adventures

G Adventures
G Adventures
Verified Company
Toronto, Canada

2 weeks ago

Sophia Lee

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Sophia Lee

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Description
About Us


G Adventures is the world's largest small-group adventure travel company and we've been making epic travel memories happen on all seven continents for over 30 years.


Our mission is simple:
to change lives through travel. And not just our travelers' either.

Since day one, our tours have been built to establish meaningful relationships with local communities, directly benefiting the people and places we visit at every step of our tours.


With the demand for travel coming back strong, we are set up and excited for this next chapter in our company's story — and we'd love for you to be a part of it.


Our DNA revolves around building, nurturing, and developing a diverse culture of people and a true sense of belonging, where everyone is encouraged to bring their authentic self to work each and every day.

You'll have the opportunity to grow your career, and yourself, alongside a passionate, talented, and welcoming community that works hard to spread goodness around the world.

If all that sounds like your kind of thing, well, we can't wait for you to join us.


About the Role:

  • This is a Hyrbrid role with with 3 days per week in our Toronto Office located at 19 Charlotte street.
We are currently looking for a Corporate Finance Manager to join our Finance team in Toronto.

You will be reporting to the Corporate Controller and your day to day duties will include:

responsible and accountable for the financial reporting process to ensure the global consolidated financial statements are accurate, complete, and in accordance with Canadian GAAP with adjustments from various different global GAAPs, lead the coordination of interim/year end audit, develop and implement policies to streamline and improve internal controls and financial reporting framework, review monthly reconciliations and journal entries.


Role breakdown:
65% of the role is leading the month end corporate consolidation process, reviewing balance sheet reconciliations and movements, delivering monthly/quarterly/annual reporting to the CFO and external stakeholders

25% of the role is managing, guiding and training the team members

5% implementing and maintaining strong review and control procedures

5% ad-hoc projects


Duties & Responsibilities:

  • Responsible for preparing accurate and timely monthly/quarterly/annual global consolidated financial statements and management discussion and analysis documents
  • Review monthly reconciliations and journal entries to ensure that the financial records are complete, accurate and meet audit requirements
  • Prepare month end transfer pricing journal entries
  • Responsible for the preparation, coordination, and successful execution of interim/year end audit. Support completion of the required analysis, financial statements.
  • Prepare technical accounting position memos and accounting policy documentation
  • Review and assist in monthly/quarterly balance sheet analysis for all accounts on the Consolidated Balance Sheet along with supporting documentation
  • Liaise with key stakeholders across Finance to understand key reporting deliverables, both internal and external
  • Provide technical expertise regarding accounting issues, regulatory information and research
  • Develop and implement policies to streamline and improve internal controls and financial reporting framework
  • Other Ad hoc duties

Direct Reports:

  • One direct report: Consolidation Accountant
Desired Skills & Experience- Chartered Professional Accountant (CPA) designation- 5+ years experience in a corporate accounting environment with solid technical accounting knowledge- "Big four" or national accounting firm audit experience is an asset- Demonstrated leadership, planning, problem solving and project management skills while motivating and coordinating a team- Excellent communication skills, including report writing and delivery of presentations- Continuous Improvement mindset, seeking to challenge the status quo- Strong knowledge of Microsoft Office Suite with advanced proficiency in Excel including pivot tables and vlookups- Hands-on team player, able to interact professionally with all levels including staff outside of the Finance team and external auditors- Self-motivated, objectives-oriented individual who is able to work under very tight deadlines with a strong attention to detail- Excellent problem-solving and research skills- Experience with small/ mid
- size entrepreneurial environment with high growth is an asset

What do we offer you?- Competitive salary commensurate with the role- Competitive benefits package- Birthday day off- Vacation time for you to recharge- Enhanced Parental Leave- Learning and growth opportunities

*Applicable based on location*G Adventures is an equal opportunity employer committed to fostering a diverse and inclusive work environment. We consider all qualified applicants.

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