Senior Accountant
Top Benefits
About the role
WHO WE ARE Anchored in our purpose to help clients achieve their financial goals, Odlum Brown has remained an independent, full-service investment firm for over 100 years. Wholly owned by its team members, the firm continues its tradition of leadership in the financial community as one of BC’s most respected investment firms. THE OPPORTUNITY We have an opportunity for a Senior Accountant to join our award-winning firm in the Vancouver office. WHAT YOU’LL DO This role reports to our Manager, Finance and Accounting and works closely with our Finance and Accounting team to handle treasury and general accounting activities for the firm, as well as assist with finance-related projects.
The ideal candidate is an effective communicator with strong attention to detail and the ability to work in a high-volume, deadline-oriented environment. They are committed to providing exemplary client service and bring positive energy whether working independently or problem solving with team members. RESPONSIBILITIES Own and manage the monthly and year-end general ledger close process, including preparing journal entries, reconciling accounts, and ensuring accurate, complete, and timely financial reporting Prepare internal financial statements and key operational performance reports for management, providing clear insights into financial results and business drivers Conduct advanced variance analysis, investigating fluctuations and identifying key drivers impacting financial performance, with actionable recommendations Prepare and submit financial reports and regulatory filings required by external regulators and industry stakeholders, ensuring accuracy and compliance with all applicable requirements Gather, analyze, and interpret financial data to support decision-making, forecasting, and ongoing business and operational initiatives Contribute to the monthly reconciliation process for the firm’s trading activities, ensuring completeness, accuracy, and timely resolution of discrepancies Support the Finance team by maintaining asset schedules, preparing detailed working papers, and contributing to the successful completion of the external audit process Conduct research on IFRS and CIRO standards, providing recommendations and supporting the implementation of new or updated regulatory requirements Analyze departmental processes to identify inefficiencies, recommend improvements, and implement procedures to enhance accuracy, scalability, and workflow efficiency Write, update, and maintain policies and procedure manuals to ensure consistency, compliance, and alignment with best practices and regulatory expectation Act as a key contributor to cross-functional projects and departmental initiatives, collaborating with stakeholders across the firm to drive process improvements and strategic priorities Respond to inquiries and requests from advisory and client services teams, providing timely, accurate, and client-focused support Support the development of junior team members by providing guidance, knowledge sharing, and informal coaching to build team capability COMPETENCIES Business Partnering – Use our functional knowledge, relationships, and business acumen to collaborate with leaders and stakeholders and align our support to address their goals and challenges Data Entry – Review or receive text or other data and then capture or enter that information accurately and efficiently in systems, documents, applications or reports Developing Reports – Gather, compile, organize, and present accurate information in structured reports to support sound business decisions or provide insight Financial Accounting – Use our knowledge of financial practices and IFRS to record transactions, manage accounts, conduct analysis and reconciliation, create reports, and maintain compliance with accounting standards Reconciliation – Identify, analyze, and explain variances to budgets or plans, reconciling transactions or accounts to support decision making and financial integrity Regulatory Knowledge – Understand and apply relevant laws, regulations, and standards to meet legal and ethical requirements and reduce risk for clients and the firm Systems and Application Proficiency – Use, maintain, manage, or improve specific systems or applications in our role to work effectively and efficiently KNOWLEDGE AND EXPERIENCE Minimum of 3-5 years of experience in a full cycle accounting role Completion of a post-secondary accounting program and CPA designation Related experience in the investment industry and CIRO regulatory reporting is an asset Knowledge of anti-money laundering procedures is an asset Strong client service orientation, with excellent verbal and written communication skills Superior data entry skills with the ability to process high volumes of data efficiently and with accuracy Proven experience preparing financial accounting reconciliations Strong organizational skills with the ability to manage and prioritize a complex and time-sensitive workload Self-motivated and results driven, willingness to learn new tasks and take responsibility for assignments Ability to work independently, along with flexibility and willingness to assist others Strong knowledge of IFRS and CIRO guidelines Confident decision maker with an eye for detail and expert analytical problem-solving capability Advanced Microsoft 365 (Excel, Word, PowerPoint and Outlook) Proficiency with Dataphile and Sage 300 Accpac is an asset WHAT WE OFFER A culture of openness, collaboration and respect is foundational to our firm. We are a diverse, driven group of individuals who genuinely care about one another and values each individual’s contribution. We offer a competitive and equitable total rewards package, including mentorship programs and meaningful professional development to support your continued growth. The expected salary range for this role is $80,000 – $90,000 per year, plus eligibility for a performance based bonus. Our team is growing, and we have room for one more exceptional individual. If this opportunity aligns with your experience and career goals, we invite you to submit your cover letter and resume by August 4, 2026. Candidates must be legally eligible to work in Canada. Any employment restrictions must be disclosed at the time of application, with supporting documentation provided prior to a potential offer of employment. We are committed to fostering an inclusive and accessible workplace where all team members feel valued and supported. If you require accommodation during the recruitment process, please email us at careers@odlumbrown.com. We appreciate your interest and thank you for considering this opportunity. We will contact candidates whose qualifications most closely align with the requirements for the role.
About Odlum Brown Limited
Odlum Brown has been helping clients achieve their financial goals for over 100 years. As a fully independent investment firm since 1923, Odlum Brown is committed to acting in clients’ best interests – always. Through disciplined investment advice, objective research and value-added financial planning services, the firm offers an exceptional full-service experience to grow and preserve clients’ wealth for the long term.
Odlum Brown also invests in the communities where its clients and team members live and work through its passionate support of over 150 charitable organizations across Canada. In addition, the firm has earned prestigious national recognition as one of Canada’s Best Managed Companies since 1999 and one of Canada’s Most AdmiredTM Corporate Cultures since 2017.
With six locations, 370 team members and over $18 billion in client assets under management, Odlum Brown’s growth and longevity are a testament to the firm’s strong commitment to its core values, common purpose and client-focused approach.
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Senior Accountant
Top Benefits
About the role
WHO WE ARE Anchored in our purpose to help clients achieve their financial goals, Odlum Brown has remained an independent, full-service investment firm for over 100 years. Wholly owned by its team members, the firm continues its tradition of leadership in the financial community as one of BC’s most respected investment firms. THE OPPORTUNITY We have an opportunity for a Senior Accountant to join our award-winning firm in the Vancouver office. WHAT YOU’LL DO This role reports to our Manager, Finance and Accounting and works closely with our Finance and Accounting team to handle treasury and general accounting activities for the firm, as well as assist with finance-related projects.
The ideal candidate is an effective communicator with strong attention to detail and the ability to work in a high-volume, deadline-oriented environment. They are committed to providing exemplary client service and bring positive energy whether working independently or problem solving with team members. RESPONSIBILITIES Own and manage the monthly and year-end general ledger close process, including preparing journal entries, reconciling accounts, and ensuring accurate, complete, and timely financial reporting Prepare internal financial statements and key operational performance reports for management, providing clear insights into financial results and business drivers Conduct advanced variance analysis, investigating fluctuations and identifying key drivers impacting financial performance, with actionable recommendations Prepare and submit financial reports and regulatory filings required by external regulators and industry stakeholders, ensuring accuracy and compliance with all applicable requirements Gather, analyze, and interpret financial data to support decision-making, forecasting, and ongoing business and operational initiatives Contribute to the monthly reconciliation process for the firm’s trading activities, ensuring completeness, accuracy, and timely resolution of discrepancies Support the Finance team by maintaining asset schedules, preparing detailed working papers, and contributing to the successful completion of the external audit process Conduct research on IFRS and CIRO standards, providing recommendations and supporting the implementation of new or updated regulatory requirements Analyze departmental processes to identify inefficiencies, recommend improvements, and implement procedures to enhance accuracy, scalability, and workflow efficiency Write, update, and maintain policies and procedure manuals to ensure consistency, compliance, and alignment with best practices and regulatory expectation Act as a key contributor to cross-functional projects and departmental initiatives, collaborating with stakeholders across the firm to drive process improvements and strategic priorities Respond to inquiries and requests from advisory and client services teams, providing timely, accurate, and client-focused support Support the development of junior team members by providing guidance, knowledge sharing, and informal coaching to build team capability COMPETENCIES Business Partnering – Use our functional knowledge, relationships, and business acumen to collaborate with leaders and stakeholders and align our support to address their goals and challenges Data Entry – Review or receive text or other data and then capture or enter that information accurately and efficiently in systems, documents, applications or reports Developing Reports – Gather, compile, organize, and present accurate information in structured reports to support sound business decisions or provide insight Financial Accounting – Use our knowledge of financial practices and IFRS to record transactions, manage accounts, conduct analysis and reconciliation, create reports, and maintain compliance with accounting standards Reconciliation – Identify, analyze, and explain variances to budgets or plans, reconciling transactions or accounts to support decision making and financial integrity Regulatory Knowledge – Understand and apply relevant laws, regulations, and standards to meet legal and ethical requirements and reduce risk for clients and the firm Systems and Application Proficiency – Use, maintain, manage, or improve specific systems or applications in our role to work effectively and efficiently KNOWLEDGE AND EXPERIENCE Minimum of 3-5 years of experience in a full cycle accounting role Completion of a post-secondary accounting program and CPA designation Related experience in the investment industry and CIRO regulatory reporting is an asset Knowledge of anti-money laundering procedures is an asset Strong client service orientation, with excellent verbal and written communication skills Superior data entry skills with the ability to process high volumes of data efficiently and with accuracy Proven experience preparing financial accounting reconciliations Strong organizational skills with the ability to manage and prioritize a complex and time-sensitive workload Self-motivated and results driven, willingness to learn new tasks and take responsibility for assignments Ability to work independently, along with flexibility and willingness to assist others Strong knowledge of IFRS and CIRO guidelines Confident decision maker with an eye for detail and expert analytical problem-solving capability Advanced Microsoft 365 (Excel, Word, PowerPoint and Outlook) Proficiency with Dataphile and Sage 300 Accpac is an asset WHAT WE OFFER A culture of openness, collaboration and respect is foundational to our firm. We are a diverse, driven group of individuals who genuinely care about one another and values each individual’s contribution. We offer a competitive and equitable total rewards package, including mentorship programs and meaningful professional development to support your continued growth. The expected salary range for this role is $80,000 – $90,000 per year, plus eligibility for a performance based bonus. Our team is growing, and we have room for one more exceptional individual. If this opportunity aligns with your experience and career goals, we invite you to submit your cover letter and resume by August 4, 2026. Candidates must be legally eligible to work in Canada. Any employment restrictions must be disclosed at the time of application, with supporting documentation provided prior to a potential offer of employment. We are committed to fostering an inclusive and accessible workplace where all team members feel valued and supported. If you require accommodation during the recruitment process, please email us at careers@odlumbrown.com. We appreciate your interest and thank you for considering this opportunity. We will contact candidates whose qualifications most closely align with the requirements for the role.
About Odlum Brown Limited
Odlum Brown has been helping clients achieve their financial goals for over 100 years. As a fully independent investment firm since 1923, Odlum Brown is committed to acting in clients’ best interests – always. Through disciplined investment advice, objective research and value-added financial planning services, the firm offers an exceptional full-service experience to grow and preserve clients’ wealth for the long term.
Odlum Brown also invests in the communities where its clients and team members live and work through its passionate support of over 150 charitable organizations across Canada. In addition, the firm has earned prestigious national recognition as one of Canada’s Best Managed Companies since 1999 and one of Canada’s Most AdmiredTM Corporate Cultures since 2017.
With six locations, 370 team members and over $18 billion in client assets under management, Odlum Brown’s growth and longevity are a testament to the firm’s strong commitment to its core values, common purpose and client-focused approach.