Junior Accountant
- Burnaby, BC
- Sur place
- Publié 15 sept. 2026
- 1 poste
50 000 $–60 000 $ / année
Ouvre un site externe
- Type d’emploi
- Temps plein
- Niveau d’expérience
- Intermédiaire · 2+ ans
- Formation minimale
- Diplôme professionnel
- Langue de l’offre
- anglais
- Heures de travail
- 40 heures par semaine
Résumé du poste
The Junior Accountant is responsible for maintaining accurate day-to-day bookkeeping, managing accounts payable, and ensuring timely recording of financial transactions. The role also supports month-end closing, inventory tracking, and provides assistance with cash flow planning and audit requests.
Détails du poste
About G&A ROBOT INC G&A ROBOT is an automation and robotics company specializing in intelligent food-service equipment. We design and deliver robotic food and beverage systems, smart vending solutions, and automated retail equipment that help restaurants, cafés, event venues, convenience stores, and other operators serve customers more efficiently, consistently, and at scale. As our company and team continue to grow, we are looking for a detail-oriented, hands-on Staff Accountant to support its day-to-day accounting operations. The primary focus of this position is maintaining accurate, up-to-date bookkeeping and managing accounts payable. Reporting directly to the Controller, this person will ensure transactions are recorded promptly, supplier invoices and payments are properly supported, and accounting records are organized and reconciled. Once these core responsibilities are consistently maintained, the role will also support accounts receivable, inventory and fixed asset records, month-end close, and other accounting activities under the Controller’s direction. Primary Responsibilities 1. Day-to-Day Bookkeeping Maintain complete and accurate accounting records in QuickBooks, recording transactions promptly using appropriate account coding and supporting documentation. Record bank and credit card transactions, supplier invoices, customer receipts, employee expense reimbursements, and other routine accounting entries. Complete bank and credit card reconciliations regularly, investigate differences, and follow up on outstanding items. Maintain organized electronic records of invoices, receipts, contracts, and other accounting documents. Identify missing information, incorrect postings, and unreconciled balances, and resolve or escalate them to the Controller. 2. Accounts Payable Manage the accounts payable process from receipt of supplier invoices through preparation of payments for approval. Verify invoice details, account coding, sales tax treatment, supporting purchase documentation, and required approvals before processing. Monitor the accounts payable inbox, respond to supplier inquiries, reconcile vendor statements, and resolve missing invoices, duplicate charges, and other discrepancies. Maintain an accurate accounts payable aging report and prepare proposed payment schedules, highlighting overdue balances, upcoming obligations, and urgent items for the Controller. Track supplier deposits, machine purchase installments, and other advance payments, matching them to invoices and deliveries as appropriate. Maintain accurate vendor records and follow established verification and approval procedures for new suppliers and changes to payment information. Additional Accounting Responsibilities 3. Accounts Receivable and Revenue Reconciliations Prepare customer invoices, record receipts, maintain accounts receivable schedules, and follow up on outstanding balances. Reconcile sales and settlements from payment platforms, including Nayax, Stripe, and WizardPOS, to accounting records and bank deposits, investigating fees, refunds, and settlement differences. 4. Inventory and Fixed Asset Support Maintain supporting schedules for inventory, vending machines, and other equipment. Record purchases, transfers, and disposals under the Controller’s guidance, and assist with inventory reconciliations and the investigation of physical count differences. 5. Month-End Close Support Complete assigned month-end tasks within the Controller’s reporting timetable. Prepare routine journal entries, account reconciliations, and supporting schedules for items such as accruals, prepayments, depreciation, and intercompany balances, as applicable. Assist with draft monthly reports and address review comments promptly. 6. Cash Flow, Tax, and Audit Support Provide current information on supplier payments, expected receipts, and outstanding obligations to support the Controller’s cash flow planning. Prepare supporting schedules for sales tax filings and audit requests, and retrieve relevant invoices, contracts, and other documentation. 7. Process Improvement Help document recurring bookkeeping and accounts payable procedures, maintain checklists, and improve the organization and consistency of accounting records. Qualifications and Experience At least three years of hands-on bookkeeping and accounts payable experience, including bank reconciliations and maintenance of general ledger records. Diploma or certificate in accounting or bookkeeping, or an equivalent combination of education and relevant experience. A CPA designation is not required. Strong working knowledge of QuickBooks and Microsoft Excel, including the ability to organize transaction data and prepare reconciliations. Experience processing supplier invoices, reconciling vendor accounts, preparing payment batches, and resolving discrepancies. Experience with month-end support, inventory, payment platforms, or foreign currency transactions is an asset. Key Attributes The successful candidate will be organized, reliable, and comfortable handling detailed, recurring accounting work. They will take ownership of assigned tasks, follow up proactively, communicate clearly with suppliers and colleagues, and protect confidential financial information. What Success Looks Like The immediate priority is dependable bookkeeping and a well-managed accounts payable process: transactions are recorded on time, invoices are properly supported and approved, vendor balances are accurate, reconciliations are current, and outstanding issues are clearly communicated. The Controller will establish priorities, review accounting work, and retain responsibility for accounting judgments, financial reporting, budgeting, and forecasting. Total compensation : Base salary + RSU Base salary: 45,000 - 55,000 CAD Job Types: Full-time, Permanent Pay: $50,000.00-$60,000.00 per year Benefits: Casual dress Dental care Extended health care Life insurance On-site parking Paid time off Vision care Ability to commute/relocate: Burnaby, BC V5A 3C2: reliably commute or plan to relocate before starting work (preferred) Application question(s): Your salary expectation Experience: Accounting: 1 year (required) Work Location: In person
Ce que vous ferez
The Junior Accountant is responsible for maintaining accurate day-to-day bookkeeping, managing accounts payable, and ensuring timely recording of financial transactions. The role also supports month-end closing, inventory tracking, and provides assistance with cash flow planning and audit requests.
Exigences
Candidates must have at least three years of hands-on experience in bookkeeping and accounts payable, along with proficiency in QuickBooks and Microsoft Excel. A diploma or certificate in accounting or bookkeeping is required, and the candidate must be able to work on-site in Burnaby, BC.
Avantages
• Casual dress • Dental care • Extended health care • Life insurance • On-site parking • Paid time off • Vision care
Compétences indiquées
- Financial Reporting · Souhaitée
- Microsoft Excel · Souhaitée
- Accounts receivable · Souhaitée
- Saisie de données · Souhaitée
- Gestion des stocks · Souhaitée
- Month-End Close · Souhaitée
- Tenue de livres · Souhaitée
Autres compétences pertinentes
Relevées dans la description du poste. Confirmez les exigences importantes ci-dessus.
- Bookkeeping
- Accounts payable
- QuickBooks
- Microsoft Excel
- Bank reconciliations
- General ledger
- Accounts receivable
- Month-end close
- Inventory management
- Financial reporting
- Data entry
- Vendor management
- Cash flow support
- Sales tax
- Reconciliation
- Accounts Payable Processing
- Inventory Reconciliation
- Account Reconciliation
- Accounting Operations
- Month-End Closing
- Time Off Management
- Credit Card Reconciliations
- Planning
- Accounts Payable
- Accounts Receivable
- Accounting
- Accounting Records
- Accruals
- Depreciation
- Budgeting
- Auditing
- Automation
- Deposit Accounts
- Bank Reconciliations
- Checklists
- Communication
- Food Services
- Currency Transaction Tax
- Optometry
- Sales
- Financial Statements
- Settlement
- Fixed Asset
- Forecasting
- General Ledger
- Sales Tax
- Invoicing
- Managed Accounts
- Purchasing
- QuickBooks (Accounting Software)
Domaines d’emploi
- Finance & Accounting
- Food & Beverage
- Administrative
- Accountant
- Accountant (General)
- Accountants
- Accountants and Auditors
D’autres postes auxquels postuler directement
Des possibilités semblables publiées par des employeurs qui recrutent sur Jobs.ca, sans formulaire externe.
BC Public Schools
Manager, Financial Planning and Analysis
CommanditéEmployeur directCandidature simplifiée- Sur place
- Victoria, BC
- Publié 18 sept. 2026
Dalfen Ltée
Technicien Comptable
CommanditéEmployeur directCandidature simplifiée- Sur place
- Publié 19 août 2026
Bédard Ressources Humaines
Analyste financier(ère) #1208
CommanditéEmployeur directCandidature simplifiée- Hybride
- Publié 1 sept. 2026