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Payroll and Accounting Technician

External
rsm logoRsm · Toronto, Canada
$68K–$109K/yrFull-timeOn-siteToday
Accounts PayableBookkeepingHTMLPayroll
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Requirements

  • National Payroll Institute Payroll Certification (PCP) or equivalent experience/education
  • Knowledge of Quebec payroll would be considered an asset
  • Certification in Bookkeeping and Accounting or equivalent recommended.
  • Minimum 2 years accounting/bookkeeping experience specifically with full cycle bookkeeping, payroll and account reconciliations.
  • Strong knowledge of Microsoft Office and other accounting programs preferred.
  • Excellent interpersonal and communication skills
  • Compensation Range: $68,000 - $108,500
  • Individuals selected for this role will be eligible for a discretionary bonus based on firm and individual performance.

Benefits

Performance bonus

Additional Information

We are the leading provider of professional services to the middle market globally, our purpose is to instill confidence in a world of change, empowering our clients and people to realize their full potential. Our exceptional people are the key to our unrivaled, inclusive culture and talent experience and our ability to be compelling to our clients. You'll find an environment that inspires and empowers you to thrive both personally and professionally. There's no one like you and that's why there's nowhere like RSM. The firm is seeking a Payroll and Accounting Technician to focus on full cycle bookkeeping services to join our Financial Consulting practice in Canada. We are seeking a self-motivated, professional and responsible individual to focus on payroll and accounting processes and procedures for small to mid-sized businesses. This position is responsible for client payroll and accounting functions as well as administration necessary to support the success of the service line and the clients. This is a critical role where you can truly make a difference in the success of the client and our team. Responsibilities Include: Payroll Preparation of T4s and other year-end slips Performing various bookkeeping and accounting consulting services for assigned clients using independent judgment and technical knowledge. Manage Accounts payable processes Bank reconciliations Balance Sheet account reconciliations Accrual and adjusting Journal entries Preparing financial statements Maintaining depreciation schedules, reconciling complex accounts, and preparing monthly financial statements. Conducting research and prepare analysis of data, reports and presentations, as required.


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