At Wolseley Canada, our leading-edge is the knowledge and insight found in every corner of our organization. Here, you’ll build strong relationships and support critical industries that touch the lives of Canadians. Every day, we show up with intention and pride; in ourselves, our associates, and our customers. You’ll have a solid foundation to try new things, uncover new possibilities, challenge yourself, and grow your career. Does this sound like somewhere you’d like to be?
Wolseley Canada is the leading wholesale distributor of plumbing, HVAC/R, waterworks and industrial products in the country and working here means, a network of possibilities, a place you are valued and a higher standard.
Join the Pros!
Based out of the Burlington Head Office and working closely with various stakeholders across the organization, the accountant is mainly responsible for the Tax and Treasury accounting functions. This is a unique opportunity for a strong finance person to be a key player in the financial operations of Wolseley Canada.
The ideal candidate will require a strong knowledge in Accounting, Tax and Cash Management. Success in this role will require a self-starter, with a strong analytical and continuous improvement mindset.
What’s in it for you?
- Regular business hours Monday to Friday
- Comprehensive benefits with premiums fully paid for by the company for the “Core” package starting the first day of employment.
- Career development and training opportunities
- Life insurance, disability and wellness program
- Retirement savings programs including RRSP and DC pension with up to 5.25% employer contribution
- Paid vacation and sick time and day off on your birthday!
- Bonus programs that include annual performance and profit sharing
- Employee discounts on top brands of plumbing and HVAC/R products
- Education reimbursement for employees
- Employee referral program
- Safety shoe reimbursement
What will you do:
- Responsible for all Treasury related functions for the banking portfolio assigned (subject to change)
- Act as a Business Partner for Operations, Accounts Receivable, Accounts Payable, and Payroll by fielding questions and providing insight or assistance where needed
- Prepare manual journal entries and balance sheet account reconciliations pertaining to the specified GLs in their portfolio
- Conduct appropriate analysis and provide insights to management
- Coordinate the issuance of payments for the various tax governing bodies
- Support the Finance & Tax Managers in strengthening internal controls with an emphasis on documentation, automation, and process standardization using checklists, and standard templates
- Active role in Internal and External Tax audits as well as working in a coordinator capacity with other departments and external contractors
- Participate in other ad hoc reporting and process improvement projects as required
What will you bring:
- Minimum of 3+ years’ experience in accounting, tax and treasury/cash management
- Strong PC skills (MS Excel, Oracle, Blackline) and ideally SmartView
- Strategic thinker, ability to identify key projects and execute on process improvement initiatives
- Continuous improvement mindset and superior organizational skills
- Strong analytical and problem-solving skills
- Experience within a dynamic, fast moving, business would be advantageous
- Exposure to a SOX/USGAAP environment is an asset
- Enrolled in the CPA program is an asset
- Fluency in French is an asset
Each resume submitted gets individually reviewed by our team and retained for 24 months if other new and exciting opportunities arise that match your skills and qualifications.
Please note: This position requires the result of a satisfactory criminal record check. A record under the Criminal Code and/or other federal offence record(s) does not automatically mean you will be ineligible for the position.
Job Type: Full-time
Schedule:
- Day shift
- Monday to Friday
Work Location: Hybrid remote