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    106 résultats pour Vice President Des Finances

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    We are seeking a VP/Director of Finance to join our client's growing team. This role will require the successful candidate to oversee various financial functions of the organization, from managing accounting processes to developing budgets. The VP/Director of Finance will also be responsible for utilizing different software systems, such as 3M, ADP and Concur, to ensure efficient financial operations. We are looking for a CPA well versed in land development and property management.


    Responsibilities:

    • Oversee and manage the general accounting functions, including but not limited to: accounts payable, accounts receivable, general ledger, and taxes

    • Guide financial decisions by applying company policies and procedures to current economic landscape

    • Develop, implement, and maintain financial controls and guidelines

    • Manage budget processes and compilation of budgets

    • Perform periodic financial analysis to detect and resolve issues

    • Prepare and present monthly financial budgeting reports including monthly profit and loss by division, forecast vs. budget by division and cash flow by division

    • Implement and maintain reporting systems and tools to accurately capture and report key business metrics

    • Review and ensure application of appropriate internal controls, SOX compliance and financial procedures

    • Coordinate the preparation of annual audits

    • Utilize CRM system for tracking and reporting of financial data.

    • Must possess proficiency in 3M

    • Experienced in using Accounting Software Systems

    • Knowledge of ADP - Financial Services is required

    • Familiarity with Concur is necessary

    • Needs to have experience with CRM

    • Proficiency in Accounting Functions is required

    • Experience with Accounts Payable (AP) is necessary

    • Must be able to handle Annual Budget

    • Auditing skills are required

    • Familiarity with Budget Processes is necessary



    Robert Half is the world’s first and largest specialized talent solutions firm that connects highly qualified job seekers to opportunities at great companies. We offer contract, temporary and permanent placement solutions for finance and accounting, technology, marketing and creative, legal, and administrative and customer support roles. Robert Half works to put you in the best position to succeed. We provide access to top jobs, competitive compensation and benefits, and free online training. Stay on top of every opportunity - whenever you choose - even on the go. Download the Robert Half app and get 1-tap apply, notifications of AI-matched jobs, and much more. Questions? Call your local office at 1.888.490.5461. All applicants applying for Canadian job openings must be authorized to work in Canada. Only job postings for jobs located in Quebec appear in French. © 2025 Robert Half. By clicking “Apply Now,” you’re agreeing to Robert Half’s Terms of Use.

    106 résultats pour Vice President Des Finances

    VP/Director of Finance <p>We are seeking a VP/Director of Finance to join our client's growing team. This role will require the successful candidate to oversee various financial functions of the organization, from managing accounting processes to developing budgets. The VP/Director of Finance will also be responsible for utilizing different software systems, such as 3M, ADP and Concur, to ensure efficient financial operations. We are looking for a CPA well versed in land development and property management. </p><p><br></p><p>Responsibilities:</p><p>• Oversee and manage the general accounting functions, including but not limited to: accounts payable, accounts receivable, general ledger, and taxes</p><p>• Guide financial decisions by applying company policies and procedures to current economic landscape</p><p>• Develop, implement, and maintain financial controls and guidelines</p><p>• Manage budget processes and compilation of budgets</p><p>• Perform periodic financial analysis to detect and resolve issues</p><p>• Prepare and present monthly financial budgeting reports including monthly profit and loss by division, forecast vs. budget by division and cash flow by division</p><p>• Implement and maintain reporting systems and tools to accurately capture and report key business metrics</p><p>• Review and ensure application of appropriate internal controls, SOX compliance and financial procedures</p><p>• Coordinate the preparation of annual audits</p><p>• Utilize CRM system for tracking and reporting of financial data.</p> Technicien comptable senior <p>Nous sommes à la recherche d’un technicien comptable sénior afin d’assister la direction et de valider le travail de l’équipe de commis. Située au nord de la ville de Québec, cette PME en pleine croissance souhaite intégrer un assistant-contrôleur à son équipe.</p><p>Sous la supervision du vice-président des finances (VP Finances), l’assistant-contrôleur agira comme expert du cycle comptable complet. À ce titre, il sera responsable, entre autres, de produire la paie, d’effectuer des réconciliations de comptes et de superviser les fermetures mensuelles. De plus, il soutiendra la direction en élaborant des rapports financiers et en contribuant à l’optimisation des contrôles et des procédures.</p><p>Nous recherchons pour ce rôle soit un technicien comptable sénior maîtrisant Excel (fonctions avancées comme les tableaux croisés dynamiques, RECHERCHEV, etc.), soit un candidat en voie d’obtenir le titre de CPA</p><p><br></p><p>RESPONSABILITÉ:</p><p><br></p><ul><li>Réaliser des opérations liées au cycle comptable complet.</li><li>Assurer le traitement et la gestion de la paie pour environ 50 employés.</li><li>Analyser et équilibrer les comptes afin de garantir la clôture des périodes mensuelles.</li><li>Offrir un soutien quotidien aux membres de l’équipe administrative et comptable en répondant à leurs questions.</li><li>Traiter et régulariser les comptes ainsi que les transactions complexes.</li><li>Participer à la préparation des états financiers de fin d’exercice.</li><li>Contribuer activement aux initiatives stratégiques de la direction, notamment par l’optimisation des processus et des méthodes de travail.</li></ul> Adjoint exécutif <p>Notre client est à la recherche d'un adjointe exécutif hautement organisé et soucieux du détail pour rejoindre son équipe dans l'industrie de la fabrication à St-Laurent, Québec. En tant qu'Adjointe exécutive, vous serez responsable de la gestion de l'agenda du président, de la coordination des réunions, de l'accueil des visiteurs, et de la préparation de divers documents. Vous serez également chargé de la correspondance avec diverses parties prenantes, de la gestion des appels et des courriels, et de la préparation de la salle de réunion du président.</p><p><br></p><p>Responsabilités:</p><p>• Gérer l'agenda du président avec précision et efficacité</p><p>• Coordonner les réunions en utilisant Office-Outlook</p><p>• Accueillir les visiteurs pour le président, y compris les clients, les fournisseurs, les investisseurs, les membres du conseil d'administration, etc.</p><p>• Préparer et rédiger des lettres et des documents en utilisant Word</p><p>• Correspondre avec les clients, les fournisseurs, les membres du conseil d'administration, les employés, les médias, les actionnaires, etc.</p><p>• Filtrer et prioriser les appels pour le bureau du président</p><p>• Gérer les courriels et les envois postaux, y compris le tri de la boîte de courriels générale de la société et le transfert au département concerné</p><p>• Préparer la salle de réunion du président selon les besoins</p><p>• Coordonner les arrangements de voyage du président</p><p>• Soutenir le vice-président des finances pour différents dossiers confidentiels tout au long de l'année</p><p>• Exécuter d'autres tâches au besoin.</p> Finance Manager <p>We are looking for a highly skilled Finance Manager for a 3-month contract, with the potential for a permanent transition with a leading private equity firm. This role requires a proactive professional who can work independently in a hybrid setting and support senior leadership with financial oversight, reporting, and strategic decision-making.</p><p><br></p><p>Key Responsibilities</p><ul><li>Monitor and oversee financial performance across multiple operating businesses.</li><li>Prepare and analyze monthly and quarterly financial reports for internal and external stakeholders.</li><li>Develop and maintain budgets, forecasts, and financial models to support business decisions.</li><li>Provide strategic financial insights and recommendations to senior leadership and the Board.</li><li>Support due diligence and financial analysis for M& A transactions and investment opportunities.</li><li>Conduct market research and financial assessments to support corporate strategies.</li><li>Streamline financial reporting and operational processes for efficiency.</li></ul> Director, Finance & Treasury <p>Our Fraser Valley client is seeking a senior leader in Finance & Treasury to join their growing team. This role will report to the CFO and lead a team of accounting and finance professionals. This organization is unique in their industry, enjoy a stellar reputation for their products and services and they are committed to continuing to build upon their success.</p><p><br></p> Finance Manager <p>Our client is seeking a Finance Manager to lead and enhance their financial operations in a fast-growing, entrepreneurial environment. In this hands-on role, you will oversee the full spectrum of accounting, payroll, tax, audit, and banking functions while driving financial reporting accuracy and efficiency. As a key contributor, you will develop and implement financial policies, lead the budgeting and forecasting processes, and present monthly financial results to the leadership team. This role offers a unique opportunity to shape financial systems and processes in a dynamic, small-team setting.</p> Interim VP Finance <p><strong>Overview:</strong></p><p> Robert Half has an exciting role for an Interim VPF. Reporting directly to the President and indirectly to the Group CFO, the Interim Vice President of Finance will serve as the financial leader of the Company and a key advisor to the President during this transitional period. This role requires providing strategic financial leadership while managing financial reporting, systems, controls, and ensuring stewardship of the Company’s resources. This opportunity is 100% onsite in Mississauga. </p><p><strong>Responsibilities:</strong></p><p>·      Oversee the Company’s financial performance, asset safeguarding, and integrity in financial analysis/reporting. Counsel on operational decisions while driving profitable growth through revenue measurement and management. </p><p>·      Ensure robust internal controls, policies, and performance management processes to support data-driven decision-making.</p><p>·      Manage cash flow operations, forecast cash needs, and ensure compliance with banking and foreign currency risk management policies. </p><p>·      Support tax compliance, insurance, and risk management, along with lender compliance reporting.</p><p>·      Lead the Finance team to effectively adapt to challenges and align with business needs, covering Finance & Accounting, Cost Management, and FP& A functions. </p> VP/Director of Finance <p>Due to a pending retirement, our client is in search of an Associate Director of Finance to join their team located in Ottawa, Ontario. The role revolves around managing the financial operations of the organization, including financial accounting, analysis, reporting, and forecasting. The successful candidate will also have the responsibility of overseeing the Finance Branch employees and managing internal controls in accordance with company policies and legal regulations.</p><p><br></p><p><strong>Advantages:</strong></p><p>-Hybrid home opportunity managing a predominantly remote staff</p><p>-25 vacation days the first year and 15 statutory holidays</p><p>-Excellent benefits including pension plan.</p><p><br></p><p><strong>Responsibilities:</strong></p><p>-Oversee the processing and recording of all financial transactions, ensuring accuracy and timeliness</p><p>-Manage the overall financial operations, providing insightful analysis, budgeting, forecasting, and financial reports to the executive team</p><p>-Establish and monitor internal controls, ensuring that accounting activities adhere to established legal, regulatory, and company policies and procedures</p><p>-Prepare, analyze, and present monthly, quarterly, and annual operating results for each department, identifying critical financial issues and proposing solutions</p><p>-Manage the performance of the Finance Branch, fostering a culture of coaching, skills building, and accountability</p><p>-Coordinate the preparation of working papers and provision of materials to external auditors for the year-end external audit</p><p>-Monitor and improve existing control systems, and develop new ones as necessary to ensure the smooth running of the financial operations</p><p>-Handle other related duties as may be assigned, contributing to the overall effectiveness of the finance function</p> Controller <p>Our client is a successful manufacturing company in the West GTA. Due to growth, they are adding a Corporate Controller to the team. Reporting to the VP Finance, the Corporate Controller will lead the day-to-day operations of the Finance function, working closely with the the Executive Leadership and Management Teams. <strong>This is a hybrid position.</strong></p><p><br></p><p>To be considered for the position of the Corporate Controller, you must have 5+ years of accounting experience in a manufacturing environment and minimum 3 years as a Controller. The Corporate Controller's duties include:</p><p><br></p><ul><li>Monthly Financial Reporting: Manage and support the preparation of trial balances, account level reviews, and consolidated financial reports.</li><li>Budgeting & Forecasting: Assist in preparing annual budgets and provide support for short- and long-term financial planning, including Profit & Loss, balance sheets, and cash flow forecasting.</li><li>Variance Analysis: Conduct analyses on financial performance (monthly, quarterly, yearly) and report variances against budgets or forecasts.</li><li>Accounting Cycle Management: Full oversight of the daily operations of the accounting department for multiple entities, including accounts payable (AP), accounts receivable (AR), and payroll cycles.</li><li>Audit Management: Oversee and coordinate effective and efficient financial audits for the company.</li><li>Internal Controls: Review and recommend internal controls to safeguard company assets, and ensure compliance with regulations and corporate policies.</li><li>Tax Filing and Compliance: Ensure timely filing of all required taxes, including corporate, local, provincial, and international taxes.</li><li>Tax Strategy: Maintain and implement transfer pricing strategies, ensuring compliance with applicable laws and regulations.</li><li>Liaison with Regulatory Bodies: Interact with government bodies such as the Canada Revenue Agency (CRA) and other international tax authorities.</li><li>Team Management: Lead the accounting team, assign work, set objectives, and evaluate team performance.</li><li>Collaboration with Other Departments: Work closely with operations teams, finance teams, and senior executives to coordinate financial reporting and decision-making.</li><li>Process Improvement: Review and improve accounting processes and procedures, implementing more efficient practices and systems.</li><li>Cash Flow Monitoring: Oversee cash management activities, ensuring adequate liquidity and forecasting future cash requirements.</li><li>Cash Disbursements: Approve cash disbursements, including vendor and employee payments, ensuring accuracy and timeliness.</li><li>Cost Accounting and Manufacturing: Manage manufacturing cost accounting, including margin reporting and cost analysis.</li><li>Cost-saving and Revenue Opportunities: Identify areas for revenue generation or cost savings, and collaborate with management or executives on implementing such opportunities.</li><li>Special Projects: Participate in and lead special projects or new initiatives as required by the organization.</li></ul> Directeur finance et administration <p>Nous recherchons un Directeur des finances et de l'administration pour rejoindre l'équipe de notre client, basée à Laval. Dans ce rôle, vous serez responsable de la gestion des finances et de l'administration, en veillant à l'efficacité des opérations et à l'amélioration continue. Vous travaillerez également en étroite collaboration avec le directeur général et d'autres directeurs de service sur divers projets.</p><p><br></p><p><strong><u>Responsabilités: </u></strong></p><ul><li>Élaborer et maintenir la mission et la vision de l'organisation à travers l'équipe, et définir des objectifs pour les atteindre</li><li>Participer au Comité de direction et à divers comités où votre expertise est nécessaire</li><li>Établir et suivre les indicateurs de performance financière</li><li>Assurer le respect des cadres opérationnels imposés par les organismes de contrôle et de surveillance</li><li>Développer des politiques, des processus et des systèmes pour améliorer l'efficacité de l'organisation</li><li>Gérer l'approvisionnement et les achats, y compris les politiques, les processus et la responsabilité des appels d'offres</li><li>Gérer les conventions d'exploitation et les autres partenariats et contrats d'affaires</li><li>Collaborer étroitement avec les autres directeurs de service sur les projets de construction de nouvelles unités de logement</li><li>Gérer et développer le personnel du service, y compris l'optimisation des ressources, le recrutement, l'embauche, la formation et l'évaluation</li><li>Assurer la gestion complète de multiples entreprises, OBNL et conseils d'administration</li><li>Piloter l'intégration financière des nouveaux projets de construction.</li></ul> Director of Finance - Manufacturing <p>We are offering an exciting opportunity for a Director of Finance to join our clients' team in Mississauga. As a Director of Finance, your role will be crucial in overseeing the financial health of their operations.</p><p><br></p><p>Responsibilities:</p><p>• The role will be a key contributor in financial analytics and driving key processes within the organization including price optimization, working capital management, cost reduction programs etc.</p><p>• Oversee and manage reporting requirements in a timely manner including variance analyses to Budget, Forecast and Prior Year, adjusted operating income, supplemental data reporting, month end close, quarter reviews, orders, daily sales etc.</p><p>• Partner with GM and Business Leadership to drive cost reduction and working capital initiatives, initiate such discussions with foresight of business conditions.</p><p>• Partner with FP& A Divisional and Regional Leadership to meet timelines, reviews, and deliverables of the P& L and working capital forecast and results.</p><p>• This position will also assist in streamlining processes and implementing tools to drive effective business decisions.</p><p>• Drive transparency of financial results and outlook throughout the matrix organization, including understanding and communicating reasons for variance to plan/budget.</p><p>• Understand operational accounting elements such as absorption costing, production expenses, labour requirements etc.</p> Project Director - Finance Systems <p>This is a long term contract. Reporting jointly to the project sponsors, the Project Director will serve as a key leader responsible for providing oversight and direction to a major system implementation initiative. This role involves driving both process modernization and the deployment of new technology solutions. Working closely with the project’s steering committee and both finance and technical workstream leads, the Project Director will ensure timely delivery of strategic goals and key outcomes.</p><p><strong>Project Governance</strong></p><ul><li>Support and champion the project’s governance framework.</li><li>Ensure project execution complies with organizational policies, procedures, and compliance standards.</li><li>Facilitate and participate in executive and project-level steering committee meetings.</li><li>Serve as a decision-maker and escalation point as defined in the project’s governance structure.</li><li>Maintain ongoing communication with stakeholders to ensure alignment and transparency.</li></ul><p><strong>Strategy, Planning & Execution</strong></p><ul><li>Act as the main liaison between project leads, stakeholders, and the broader organizational community.</li><li>Develop strategies, roadmaps, timelines, and deliverables to meet project goals.</li><li>Oversee and manage all project activities and documentation.</li><li>Provide leadership and guidance to the core and extended project team.</li><li>Lead reviews with sponsors and stakeholders to identify evolving needs and adapt project plans accordingly.</li><li>Coordinate with other project managers to align schedules, dependencies, and shared challenges.</li><li>Manage resource planning, budgeting, and financial tracking.</li><li>Liaise with internal departments such as procurement, legal, and finance to support workstream activities.</li></ul><p><strong>Change and Relationship Management</strong></p><ul><li>Facilitate stakeholder engagement and readiness for new systems and processes.</li><li>Promote the project's value to key stakeholders and users.</li><li>Guide and monitor change management efforts.</li><li>Represent the project at roadshows, information sessions, and other engagement forums.</li><li>Cultivate and maintain strong relationships across the organization to manage expectations.</li></ul><p><strong>Vendor Management</strong></p><ul><li>Oversee vendor deliverables and contractual commitments.</li><li>Act as the primary point of contact for vendor interactions.</li><li>Ensure vendor meetings align with governance and compliance expectations.</li><li>Address and resolve vendor-related issues.</li></ul><p><br></p> Manager, Commercial Credit <p>Our Fraser Valley client is seeking a Manager, Commercial Credit reporting to the Senior Vice President Risk for this growing financial institution. This organization is poised for significant growth and this role will have a key role to play in the next level of success.</p><p><br></p><p>The Manager, Commercial Credit will be responsible for enhancing credit policy, procedures and processes from origination to approval as well as the management of the quality of the portfolio, approving and rejecting loans on sound credit principals, credit structuring, ensuring appropriate security, monitoring covenants and reporting to the Executive Team and the Board. Overseeing a team of two, the Manager, Consumer Credit will provide training and technical advice to the credit team, facilitating growth and</p><p>contributing to goals and vision for the organization.</p><p><br></p> Patient Accounting/Finance Manager We are offering a short term contract employment opportunity for a Patient Accounting/Finance Manager in Winnipeg, Manitoba. The selected candidate will join an organization within the political industry, with a blend of in-office and remote work. As a Patient Accounting/Finance Manager, your responsibilities will involve managing financial processes, overseeing staff, and assisting with audits.<br><br>Responsibilities:<br>• Oversee the management of financial functions, including accounts payable and receivable<br>• Utilize accounting software systems, including ADP, BlackLine, and Concur, to streamline financial operations<br>• Lead a team of eight, providing guidance for two direct reports and six indirect reports<br>• Assist with the preparation and completion of year-end audits<br>• Utilize ERP - Enterprise Resource Planning for efficient business process management<br>• Manage billing functions to ensure accurate and timely invoicing<br>• Ensure compliance with federal and provincial government regulations in all accounting practices<br>• Monitor and resolve any issues related to customer credit applications and records<br>• Adapt to the use of Vivid software for business operations<br>• Balance workload effectively to meet organization needs within the designated work hours of 8:30-4:30. Sales Analyst <p>Our client is a very successful company in the auto industry. As a result of exciting growth and industry partnerships, they have added a new position of Sales Analyst to the team. Reporting to the Vice President, the Sales Analyst is responsible for sales analytics and other data analytics for one of its largest customers. The Sales Analyst's duties involve examining and analyzing sales and claims data, creating and managing data dashboards, and utilizing data analytics to optimize business operations. </p><p><br></p><p>To be considered for the role of Sales Analyst, you must have a University degree in Business combined with studies in Math or Data Analytics. An MBA or CPA is an asset. You must be able to sort and analyze complex data with an ability to understand what the numbers are saying. You must have strong business acumen combined with exceptional data analytics skills. You will be presenting data to the Senior Leadership Team within our client as well as to their client. You must therefore have excellent written and verbal communication skills. The ideal candidate is able to convey the message and story behind the numbers to help drive business decisions in Canada. </p><p><br></p><p><strong>Responsibilities:</strong></p><p><br></p><p>• Analyzing and interpreting sales trends and metrics to identify areas of progression and regression</p><p>• Creating and maintaining data dashboards using Power BI, acting as a power user and architect</p><p>• Analyzing and interpreting claims data to identify key insights and trends</p><p>• Utilizing data mining techniques to derive meaningful insights from vast data sets</p><p>• Implementing variance analysis and providing explanations for identified variances</p><p>• Investigating and identifying variances in financial metrics and KPI reporting</p><p>• Assessing current reporting methods and suggesting new ways for improvement</p><p>• Using data analytics and financial analytics to drive strategic decision-making</p><p>• Examining changing competitive trends and their impact on sales</p><p>• Managing budget processes and ensuring alignment with financial KPIs</p><p>• Utilizing skills in analyzing trends to understand input and its impact on output.</p> Directeur des finances <p>Notre client est à la recherche d'un Directeur des Finances pour rejoindre son équipe située à Montréal. </p><p><br></p><p>Responsabilités:</p><p>• Superviser les opérations comptables et assurer une clôture de fin de mois précise et opportune.</p><p>• Diriger le processus de planification financière et d'analyse.</p><p>• Collaborer avec diverses équipes pour fournir des KPI perspicaces.</p><p>• Stimuler la rentabilité en développant et en mettant en œuvre des stratégies financières efficaces.</p><p>• Analyser les états financiers pour évaluer la performance de l'entreprise.</p><p>• Mettre en place et maintenir des contrôles internes solides pour assurer la fiabilité des informations financières.</p><p>• Élaborer des stratégies commerciales annuelles pour soutenir les objectifs à long terme de l'entreprise.</p> Contrôleur <p>Notre client est à la recherche d'un contrôleur pour rejoindre son équipe à Ville St-Laurent, Quebec. En tant que contrôleur, votre rôle consistera à planifier, organiser, diriger, contrôler et évaluer les activités et opérations du département financier. </p><p><br></p><p>Responsabilités:</p><p><br></p><p>• Superviser la gestion des comptes débiteurs et créditeurs;</p><p>• Participer activement à l'amélioration du système comptable et financier;</p><p>• Contribuer à la préparation des dossiers d'audit et gérer les relations avec les auditeurs externes et autres parties prenantes;</p><p>• Préparer et soumettre les rapports mensuels de TPS/TVQ et répondre aux éventuels audits;</p><p>• Participer à la planification financière et au processus budgétaire, analyser et ajuster les prévisions;</p><p>• Calculer et gérer diverses obligations fiscales étrangères, principalement aux États-Unis;</p><p>• Produire des états financiers mensuels et annuels, y compris la préparation et la supervision des opérations de fin d'année;</p><p>• Générer divers rapports financiers internes et externes;</p><p>• Soutenir le VP Finance dans divers projets de développement ad hoc;</p><p>• Assurer la réalité des actifs, principalement les actifs fixes et les stocks;</p><p>• Participer à des projets d'optimisation des stocks.</p> Accounting Manager <p><strong>Robert Half est en partenaire d'une excellente organisation qui cherche à ajouter un Gestionnaire de Comptable. Il s'agit d'un poste à temps plein/permanent en présentielle.</strong></p><p><br></p><p><strong>Les avantages :</strong></p><p>-Salaire compétitif (80-85K)</p><p>-Avantages sociaux complets + abondement du REER</p><p>-3 semaines de vacances</p><p>-Remboursement des frais de scolarité </p><p>-Remboursement des frais de scolarité -Stationnement gratuit</p><p>-Possibilité d'avancement</p><p><br></p><p><strong>Responsabilités:</strong></p><p><strong>Comptes clients:</strong></p><p>- Créer toutes les factures de vente dans Sage </p><p>- Traiter toutes les CN et DN requises par le service des ventes et des clients</p><p>- Envoyer les relevés de compte des clients comme demandé</p><p>- Gérer les dossiers des comptes clients en vue de leur présentation</p><p>- Gestion des mises à jour des dossiers clients dans Sage</p><p>- Vérification de la solvabilité des nouveaux clients</p><p>- Traitement des salaires</p><p>- Rapprochements bancaires</p><p>- Déclarations fiscales statutaires</p><p><br></p><p><strong>Comptes fournisseurs:</strong></p><p>- Traitement de toutes les factures de paiement dans Sage</p><p>- Traitement de toutes les CN et DN requises Services de vente et de clientèle pour les producteurs </p><p>- Préparer les fils électriques, les transferts électroniques de fonds et les chèques.</p><p>- Gérer tous les fichiers de comptes fournisseurs dans Sale</p><p>- Gérer les fichiers des comptes fournisseurs pour la présentation</p><p>- Gérer la mise à jour des dossiers des fournisseurs dans Sage</p><p><br></p><p><strong>Autres tâches:</strong></p><p>-L'employé doit accéder à la gestion des flux de trésorerie de l'entreprise</p><p>-L'employé supervisera, encadrera et conseillera le personnel de la comptabilité</p><p>-L'employé participera à la formulation des orientations futures de l'entreprise en matière de marketing et de ventes et soutiendra les initiatives tactiques de l'entreprise</p><p>-L'employé assure la liaison avec les parties prenantes de l'entreprise, telles que les banques, les assurances, les auditeurs, les agences gouvernementales et le conseil d'administration</p><p>-L'employé doit continuellement améliorer le développement des affaires et rendre compte directement au directeur financier</p> Contrôleur financier <p>Nous recherchons un <strong>Contrôleur financier</strong> hautement organisé, attentif aux détails et possédant de solides compétences en analyse financière pour rejoindre une entreprise de construction bien établie située à Québec. Sous la supervision du directeur financier, vous serez chargé de la <strong>préparation des états financiers mensuels</strong>, de l’<strong>analyse des coûts</strong>, du <strong>suivi financier des projets</strong> ainsi que de la <strong>gestion et du contrôle des budgets affectés aux filiales</strong> qui vous seront confiées.</p><p><br></p><p>RESPONSABILITÉS :</p><ul><li>Préparer les <strong>états financiers mensuels</strong> des entités assignées;</li><li>Effectuer le calcul et le suivi des travaux en cours, incluant l’analyses des coûts en temps et matériaux et produire les rapports financiers;</li><li>Examiner et veiller à ce que la facturation mensuelle des clients soit conforme aux données recueillies;</li><li>Suivi des avis de changements en mode entrée non complété afin d’assurer le traitement de ces requêtes et l’obtention des bons de commande client s’il y a lieu;</li><li>Participer à l’analyse des résultats mensuels, <strong>expliquer les écarts budgétaires</strong> et documenter les dépassements de coûts;</li><li>Fournir une assistance à l’équipe de comptabilité pour la gestion des transactions spécifiques aux projets et des entités assignées;</li><li>Participer à la <strong>préparation des budgets</strong>, surveiller leur évolution et expliquer les écarts;</li><li>Contribuer à l’élaboration, l’optimisation et le maintien des contrôles internes financiers;</li><li>Préparer les<strong> dossiers de fins d’année</strong> des entités assignées;</li><li>Soutenir de manière ponctuelles le directeur dans les activités comptables et financières du groupe.</li></ul> Director of Finance <p>Our client, a leader in the manufacturing industry, is seeking an experienced Director of Finance to join their dynamic team. This critical role is focused on maintaining high-level financial standards, optimizing financial operations, and delivering strategic insights to support informed decision-making that drives business growth.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li><strong>Financial Leadership:</strong> Lead all financial operations within a manufacturing environment, ensuring processes consistently align with strategic growth goals.</li><li><strong>Costing System Management:</strong> Design and oversee an efficient costing system that enhances transparency and supports data-driven decision-making.</li><li><strong>Financial Reporting:</strong> Ensure precise preparation, consolidation, and reporting of financial results on a monthly and quarterly basis.</li><li><strong>Tax Compliance:</strong> Supervise tax-related activities and ensure adherence to all compliance regulations.</li><li><strong>Internal Controls:</strong> Implement and maintain effective accounting systems and internal controls aligned with Sarbanes-Oxley requirements.</li><li><strong>Contractual Reviews:</strong> Perform detailed financial assessments of contractual obligations to safeguard company interests.</li><li><strong>Executive Summaries:</strong> Generate and present high-level summaries based on data analysis for operational, financial, and strategic decision-making.</li><li><strong>Management Reporting:</strong> Provide internal financial reports to senior leadership on a regular basis.</li><li><strong>Audit Preparation:</strong> Oversee the compilation of supporting information for annual audits and internal SOX compliance requirements.</li><li><strong>Financial Modeling:</strong> Develop sophisticated financial models to evaluate the impact of strategic business decisions.</li><li><strong>Variance Analysis:</strong> Conduct analytical reviews of Balance Sheet and P& L accounts to guide variance analysis efforts.</li><li><strong>Performance Benchmarks:</strong> Establish measurable benchmarks to assess financial and operational performance effectively.</li><li><strong>Cross-Functional Initiatives:</strong> Lead cross-departmental projects to streamline processes, drive efficiency, and promote growth.</li></ul><p><br></p> Manager Financial Reporting <p>We are offering an exciting opportunity for a Manager Financial Reporting for our integrated services client based in central GTA, you will be required to maintain and prepare IFRS financial records and reports, coordinate translations (English / Hebrew), and manage various financial statements and disclosures. You will also handle the preparation of memos on accounting issues, review financial statements for correct currency translations, and manage the SOX process.</p><p><br></p><p>Responsibilities:</p><p>• Oversee the maintenance and preparation of IFRS financial records and reports</p><p>• Coordinate translations between languages (English / Hebrew)</p><p>• Manage the preparation and review of quarterly and annual financial statements and notes disclosures in line with IFRS</p><p>• Prepare memos for researched accounting issues following IFRS and best practices </p><p>• Review financial statements for correct currency translations</p><p>• Oversee the SOX process and coordinate with the company’s internal auditor</p><p>• Assist with ad-hoc financial information requests and coordinate information requests with the internal auditor</p><p>• Compile and file various corporate governance documents, such as annual reports</p><p>• Manage and monitor the process of preparing the company’s annual budget, including the development projects budget and the corporate budget</p><p>• Resolve technical or IT issues related to accounting reporting and propose solutions, especially in Excel</p><p>• Support the CFO and the controller with the compilation of various tax compliance, including various provincial, state, and federal tax requirements, in collaboration with tax consultants.</p> Contrôleur <p>Contrôleur(e) - Remplacement Congé de Maternité (15 Mois)</p><p><strong>Lieu :</strong> Montréal (Hybride)</p><p><strong>Début :</strong> Mai 2025 | <strong>Fin :</strong> Août 2026</p><p><strong>Horaire :</strong> 40 h/sem</p><p><br></p><p>À propos du poste</p><p>Nous recherchons un(e) Contrôleur(e) pour superviser la comptabilité de deux filiales d’investissement. Ce rôle clé implique la gestion des finances, la production de rapports financiers précis et le respect des normes réglementaires.</p><p><br></p><p>Responsabilités principales : </p><p><strong>Cycle comptable complet :</strong></p><ul><li>Gestion des comptes payables et recevables, rapprochements bancaires, facturation et trésorerie.</li></ul><p><strong>États financiers & Rapports :</strong></p><ul><li>Rapports mensuels pour chaque fonds.</li><li>États financiers et notes semestriels (juin et décembre).</li><li>Déclarations réglementaires trimestrielles à l’AMF.</li><li>Rapprochement quotidien des portefeuilles d’investissement.</li></ul><p><strong>Audit & Conformité :</strong></p><ul><li>Supervision des audits annuels (janvier–mars).</li><li>Assurer la conformité réglementaire et l’exactitude des rapports.</li></ul><p><strong>Systèmes & Outils :</strong></p><ul><li>Gestion comptable via ACCPAC.</li><li>Maîtrise avancée d’Excel (VLOOKUP, tableaux croisés dynamiques, SUMIF).</li></ul><p><strong>Controller – Maternity Leave Replacement (15 Months)</strong></p><p><strong>Location:</strong> Montreal (Hybrid)</p><p><strong>Start Date:</strong> May 2025 | <strong>End Date:</strong> August 2026</p><p><strong>Schedule:</strong> 40 h/week</p><p><br></p><p>About the Role</p><p>We are looking for a Controller to oversee the accounting of two investment subsidiaries. This key role involves financial management, accurate reporting, and regulatory compliance.</p><p><br></p><p>Key Responsibilities : </p><p><strong>Full Accounting Cycle:</strong></p><ul><li>Manage accounts payable & receivable, bank reconciliations, invoicing, and cash management.</li></ul><p><strong>Financial Statements & Reporting:</strong></p><ul><li>Monthly reports for each fund.</li><li>Semi-annual financial statements & notes (June & December).</li><li>Quarterly regulatory filings with the AMF.</li><li>Daily reconciliation of investment portfolios.</li></ul><p><strong>Audit & Compliance:</strong></p><ul><li>Oversee annual audits (January–March).</li><li>Ensure regulatory compliance and accuracy of reports.</li></ul><p><strong>Systems & Tools:</strong></p><ul><li>Accounting management using ACCPAC.</li><li>Advanced proficiency in Excel (VLOOKUP, pivot tables, SUMIF).</li></ul> Controller <p><strong>Are you an experienced financial professional with a passion for driving results, optimizing processes, and leading high-performing teams?</strong> Step into the <strong>Controller</strong> role with our client's growing organization, where your expertise in accounting, cash management, and project accounting will shape the future of this exciting company with projects across North America. Collaborate with your colleagues to ensure financial integrity, compliance, and strategic growth in a fast-paced environment. If you’re ready to thrive in a leadership role that blends financial acumen with operational strategy, this is your next career move. <strong>Note that this role is 100% onsite in Burlington, ON.</strong></p><p><br></p><p><strong>What You Will Do</strong></p><p><strong>Lead with Purpose. Excel with Impact.</strong></p><ul><li><em>Financial Stewardship</em>: Reporting to the VP Finance, you will oversee all accounting functions, ensuring accuracy, integrity, and compliance with regulatory standards.</li><li><em>Strategic Insights</em>: Lead financial reporting, delivering actionable insights to help the Senior Leadership Team drive business decisions.</li><li><em>Cash Management Expertise</em>: Manage cash flow and treasury operations to optimize the company's resources and manage risks.</li><li><em>Team Empowerment</em>: Mentor and develop a high-performing finance team of 6-8 staff.</li><li><em>Executive Partnership</em>: Collaborate with the Senior Leadership Team to align the organization's financial operations with strategic business objectives.</li></ul><p><strong>What You Bring</strong></p><p><strong>Commitment to Excellence and Growth.</strong></p><ul><li>CPA designation with a bachelor’s degree in accounting, finance, or business administration.</li><li>10+ years of accounting experience, including 5+ years in a leadership capacity.</li><li>Proficiency in ERP systems, strong Excel skills. </li><li>Advanced knowledge of accounting principles.</li><li>Experience in project-based accounting gained from past experience in construction or related industries is <strong>mandatory.</strong></li><li>Exceptional leadership, problem-solving, and communication skills, emphasizing collaboration and integrity.</li></ul><p><br></p><p><br></p> Contrôleur financier <p>Nous recherchons actuellement un directeur comptable et administratif afin de participer à la direction d'un organisme communautaire de Québec offrant des services aux personnes en perte d'autonomie. Le directeur comptable et administratif produit et analyses les états financiers, supervise, contrôles les opérations comptables. Il gère les budgets et participe à la gestion stratégique de l'organisme. </p><p><br></p><p>RESPONSABILITÉS :</p><p><br></p><p>Superviser le département de comptabilité;</p><p>·       Vérifier les comptes de GL et effectuer les fermetures mensuelles;</p><p>·       Établir et analyser les états financiers;</p><p>·       Produire divers rapports et analyses financières pour la direction et les bailleurs de fonds;</p><p>·       Contrôler les budgets d'opérations et produire les prévisions;</p><p>·       Participer aux comités de directions;</p><p>·       Analyser les coûts et proposer des initiatives d'optimisation opérationnelle;</p><p>·       Produire le dossier de fin d'année et les divers rapports financiers;</p> Assistant contrôleur <p>Notre client recherche d'un assistant contrôleur hautement organisé et soucieux du détail pour rejoindre une PME bien établie à Montréal. En tant qu'assistant contrôleur, vous serez responsable de la préparation de la paie, de l'évaluation des inventaires et de la gestion des audits annuels. Vous serez également responsable de l'analyse des états financiers et du suivi des banques et autres prêts.</p><p><br></p><p>Responsabilités</p><p>• Évaluer les inventaires et assurer une comptabilisation précise</p><p>• Gérer l'audit annuel et veiller à son bon déroulement</p><p>• Analyser les états financiers pour une meilleure compréhension de la situation financière</p><p>• Suivre les banques et autres prêts pour assurer une gestion financière saine</p><p>• Produire différents rapports pour une meilleure visibilité et une prise de décision informée</p><p>• Améliorer constamment les processus pour une meilleure efficacité</p><p>• Effectuer des analyses financières en comparaison avec le budget, par ligne d'activités, par département</p>