Job Description
WHO WE ARE:
TNG Retail Services is a Jim Pattison Group company. For more than a century, we transported millions of pounds of product and moved merchandise into place at retail stores.
From back room, to shelf, to shopping cart: We move products to move businesses forward. By leveraging our experience, we advance strategic in-store solutions, fulfilling even the tallest customer orders with the highest standards of service.
OUR OPPORTUNITY:
TNG Retail Services in Richmond, BC is seeking an organized and motivated full-time Finance Manager Reporting to the Director of Finance, responsible for full cycle accounting for the timely preparation of financial statements and reports. In addition, the role is responsible for effectively supporting the accounting team and working with the management teams in the development, implementing and monitoring of proper financial controls. This is an hybrid position.
Roles and Responsibilities:
Ensure accurate and timely processing of key financial functions budgets and analyses by:
- Monitoring closely the timeliness of input from other departments
- Adhering to month-end schedules
- Performing financial statement consolidation
- Ensuring account reconciliations are up to date and clean
- Assisting in year-end close
- Liaising with external auditors for interim and year-end audits and coordinating the timely completion of audit and tax working papers
- Assisting in the completion of the insurance package
- Assisting in coordinating the budget process and the final submission of budgets
- Preparing J/E's and other input prior to GL entry as needed
Ensure the preparation of timely and accurate financial statements/reports by:
Effectively manage and support the team by:
- Coordinating and directing Accounts Payable and their activities
- Coordinating and directing the team members and their activities
- Providing coaching and counseling to team members
- Developing and maintaining good relations with external departments (operations, AP, payroll, external auditors, etc.)
- Establishing and maintaining effective communication between management team and accounting staff
Effectively work with the Director of Finance in the development, implementation and monitoring of proper financial controls by:
- Identifying needs and issue
- Investigating and recommending financial control options available for implementation
- Having a clear understanding of the broad view of controls
- Providing guidance to other departments (ie. operations) for the effective and accurate transfer of information
Skill/Knowledge requirements:
- 5 years or more of progressive experience in accounting
- Professional accounting designation preferred (CPA)
- Advanced Excel proficiency is required
- Previous experience with budget preparation
- Experience in a computerized financial statements environment
- Good understanding of financial systems and procedures
- Strong communication, organizational and leadership skills
- Quick comprehension and demonstrated analytical skills
- Ability to work with all levels of corporate management
Benefits of being on this dynamic team:
- Competitive compensation packages, including industry leading health benefits, pension matching, annual bonus.
- Employee recognition programs
- Being a part of the larger Jim Pattison Group with over 100 years of vibrant history
- A culture you do not want to miss out on!
Applying:
We welcome your interest in the above opportunity. Interested applicants are encouraged to apply with cover letter and resume. While we thank all those who apply, only successful candidates will be contacted.