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You will provide accounting support to all RBDC entities and ensure full compliance with local and IFRS accounting standards. You will be responsible for RBDC Bank Reconciliation, utilizing multiple ERPs. Become an expert in all accounting-related activities occurring in these supported areas, ensuring timely and accurate reporting. This role involves significant interaction with the RBNA and RBDC accounting and finance teams, as well as RBDC business units, including monthly reporting and addressing field questions. This position will include month-end and year-end accounting responsibilities.
Areas that play to your strengths
All the responsibilities we'll trust you with:
Prepare RBDC Shared Service Bank Reconciliation utilizing multiple ERPs
Research and process customer corrections as needed per bank reconciliation
Work with field in resolving discrepancies between bank & deposits
Create journal entries for customer deductions
Miscellaneous projects, journal entries & reporting per management request
Provide audit PBC backup for interim and YEC external audits