
The Mason Group Inc
Accounting Manager – 6 months
Employment Type
Contract
Location
Bracebridge, Ontario
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Job Description:
Key tasks include:
Reconciliation: Regular reconciliation of balance sheet accounts, cash, and bank accounts to ensure accuracy and resolve discrepancies promptly.
Month-End & Year-End Close: Preparation of journal entries, support for month-end and year-end close, and financial statement preparation.
Tax Compliance & Reporting: Monthly HST remittances, annual reconciliation and filing for WSIB and EHT.
Revenue & Cash Management: Oversight of revenue recognition (especially from POS systems), daily cash monitoring, and cash flow accuracy.
Collaboration: Interface with auditors, tax advisors, and internal stakeholders for financial insights and reporting needs.
Process Improvement: Focus on internal controls, system enhancements, and efficiency gains using technology
TMGCT
Job Requirements:
Strong Excel skills, hands-on experience with accounting software (e.g., QuickBooks, NetSuite, Sage)
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