Position Title: Supervisor, Cash Applications Team and Location: Calgary, AB Salary: $85,000/year Position Summary: Reporting to the Manager, Billing & Cash Applications, the Supervisor, Cash Applications leads a team of accounts recei[...]
Requisition ID: 196216 Tangerine is Canada's leading direct bank. We offer flexible and accessible banking options, innovative products, and award-winning Client service. The reason why Tangerine employees come to work each day is to help
Position: Financial AnalystSouthbridge Health Care LP (Southbridge) is currently looking to add a talented Financial Analyst to our amazing corporate finance team at our head office in Cambridge, ON. Reporting to the Senior Manager Ope[...]
Requisition ID: 190664 Join a purpose driven winning team, committed to results, in an inclusive and high-performing culture. This role is part of the Group Treasury - Global Cash Management team, that is responsible for reporting and
Good working knowledge of Microsoft Word, Excel and PowerPoint and the ability to learn to use the various reporting tools to extract and present information from the Bank's accounting records. 10+ years of industry related experience,[...]
Senior Manager, Trade Reporting Specialist - GWO - Toronto, ON Global Banking and Markets Global Banking and Markets (GBM) is a leading Canadian Capital Markets and Investment Banking business with a growing platform in the US and Lati[...]
Requisition ID: 198139 Join a purpose driven winning team, committed to results, in an inclusive and high-performing culture. Contribute to the overall success of Global Accounting Policy and Procedures. The incumbent's primary function is
Benefits Based on the employment status and union agreement, the Government of Nova Scotia offers its employees a wide range of benefits such as a Defined Benefit Pension Plan, Health, Dental, Life Insurance, General illness, Short and[...]
Reporting to the Director, CMAC, the Bank Reconciliation Supervisor manages the overall operations of the Bank Reconciliation team including providing accurate and timely accounting, reporting and support for all financial transactions[...]
Set-up/maintain the books and records of Private Equity funds, including GP vehicles where applicable, in accounting database in line with terms and conditions of governing documents Prepare and/or review periodic Net Asset Valuations [...]