Financial Control Specialist

Great opportunity to work with one of the leading financial services!!
Your New Company
A leading financial institute, with multiple offices across Canada and throughout the world are looking for a Financial Control Specialist for 6 months of a contract role. They have an excellent reputation within their sector and are known as a market leader.

Your New Role
Key performance elements include the assurance that all work is complete, accurate, and identifying and escalating any control/compliance issues while offering alternatives for a solution. You possess a natural willingness to support the team in the successful accomplishment of all objectives. You strive to understand your customers; needs and support their requirements by setting clear expectations while meeting or exceeding them. You will work as part of the team to develop excellence and support innovation while ensuring that the tasks performed continue to add value. Main Accountabilities:
  • Daily journal entries to clear cash and client suspense accounts.
  • Perform daily monitoring of Insurance suspense accounts in Frontier (automated account reconciliation software) to ensure timely clearing of transactions as well as ensuring monthly account reconciliation reporting standards are met.
  • Engage in a continuous improvement working environment while supporting the control environment Support requests to satisfy audit requirements,
  • Project work as assigned.

What you need to succeed
  • Strong communication and organizational skills.
  • Ability to operate effectively as a team member as well as independently with limited supervision.
  • Solid problem-solving skills, analytical skills and attention to accuracy and detail.
  • Ability to handle conflicting priorities and meet stringent deadlines.
  • Proficient with Microsoft Excel (lookups, pivot tables)
  • Daily journal entries to clear cash and client suspense accounts.
  • Perform daily monitoring of Insurance suspense accounts in Frontier (automated account reconciliation software) to ensure timely clearing of transactions as well as ensuring monthly account reconciliation reporting standards are met.
  • Engage in a continuous improvement working environment while supporting the control environment.
  • Support requests to satisfy audit requirements.
  • Project work as assigned.

What you need to do
If you are interested in having a confidential discussion, please email me your updated resume at Mankirat.Kaur@hays.com [mailto:Mankirat.Kaur@hays.com]
#1106084

Summary

Job Type
Contract
Industry
Banking & Financial Services
Location
Toronto
Specialism
Accounting And Finance
Pay
54-60 per hour
Ref:
1106084

Talk to a consultant

Talk to Mankirat Kaur, the specialist consultant managing this position, located in Vancouver (EN)
Suite 2150,, 1050 West Pender Street,

Telephone: 6046481721

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