Assistant controller - Temporary (12 Month Term)

💰 ₹14,400 - ₹23,040 (Est.) 📍 Calgary

Job Description

OUR BUSINESS:
Sultran Ltd. is a world class total supply chain solutions company for bulk commodities serving the global market. For over 50 years, we have been delivering end-to-end logistics and terminal solutions for bulk commodity supply chains – we are in the business of connecting bulk commodities to world markets.Sultran Ltd., based in Calgary, Alberta, is a private, independently managed company. Our comprehensive services include fully integrated supply management solutions that cover all aspects of product transport, fleet management, storage and inventory management, marine loading and terminal services. Through our wholly owned subsidiary, Pacific Coast Terminals Co. Ltd. (“PCT”), we operate a state-of-the-art deep sea tidewater terminal located on the Burrard Inlet in Port Moody, BC. We provide world-class tidewater terminal handling solutions for bulk commodity exporters of Sulphur, Potash, Ethylene glycol and Canola oil.Our success is built around the right people working collaboratively within a result driven corporate environment that values continuous improvement, environmental responsibility, safety and strong governance. Employees across the organization enjoy a competitive and extensive compensation and benefits plan with the ability to foster personal and professional growth.
The Opportunity:
We are currently seeking a highly motivated Temporary Assistant controller to join our team on a 12 to 14-month contract. Based out of our Calgary location, the successful candidate will be responsible for completing the Enterprise financial statements, recording and reconciliation of Enterprise sub ledgers and intercompany accounts, supporting capital and major maintenance analysis. This role will also oversee project accounting deliverables, including cost capitalization and tax classification, along with other accounting responsibilities as required.
Key Responsibilities / Results
- Responsible for timely, reliable and complete Enterprise financial statements to enable interpretation of financial results. - Responsible for the design and maintenance of the Enterprise financial systems structure to efficiently meet internal and external reporting and analytical requirements.- Responsible for maintenance of Enterprise financial systems master files as well as the entry of approved budget information.- Responsible for timely, reliable and accurate transactional recording and reconciliation of Enterprise sub ledgers and intercompany accounts.- Responsible for communicating Enterprise applicable accounting standards, corporate direct and indirect tax and other relevant regulatory program requirements to staff. Key Actions
- Complete and review financial and management reporting with Controller within required timelines and distribute as directed.- Complete further analysis of variances and trends as directed by Controller and communicate findings.- Develop, update and communicate financial reporting schedule and timelines for relevant staff.- Ensure monthly cut-off procedures and reconciliations of sub ledger and intercompany accounts completed.- Identify opportunities and recommendations for financial system improvements for review and discussion with Controller and Vice President Finance.- Develop, update and communicate Enterprise financial system documentation.- Prepare responses to delegated external stakeholder information requests.- Ensure timely completion of external regulatory reporting and payment requirements including corporate banking, corporate direct and indirect tax, insurance and human capital.- Manage the Enterprise capital asset ledger to ensure completeness and compliance with accounting, tax, insurance and regulatory requirements.- Ensure completeness of master files for key financial systems including legal entity, accounts receivable and accounts payable.- Prepare and ensure Controller approval of standard recurring journal entries and supporting allocations.- Prepare and obtain Controller approval of all non-standard journal entries including supporting information.- Collaborate with responsible parties to ensure integration of capital projects plans within financial system to meet stakeholder needs.- Implement and manage cash investment and financing strategies for Enterprise as directed by Vice President Finance. Education and Credentials:
- CPA Designation or in final year of required work experience.- Minimum of two years of financial accounting experience- Experience in single enterprise, multiple corporate entity financial structure. Competencies:
- Delivers reliable and relevant results within timelines; adapting as required to changing business needs, conditions, and work responsibilities.- Promotes financial discipline throughout organization- Continuous learning in financial accounting and corporate direct and indirect tax.- Challenges status quo through innovation and exploration of new processes- Communicates honestly, openly and authentically in a timely fashion and a way that the recipient understand the why behind the words.- Takes personal responsibility for the quality and timeliness of work, and achieves results with little oversight.- Builds constructive working relationships characterized by a high level of acceptances, corporate and commitment with a team to achieve goals and deliverables.
Sultran Ltd . and Pacific Coast Terminals Co. Ltd. are equity employers and strongly encourages applications from all qualified individuals including (but not limited to) women, Indigenous Peoples, visible minorities, people of all ****** orientations and gender identities, persons with disabilities, and others who may contribute to the further diversification of our business community.We are committed to ensuring that the application and interview process is accessible to all applicants. If you require any assistance or accommodations during the recruitment, selection, and/or assessment process, please connect with us at postings@sultran.com

Job Types: Full-time, Temporary, Contract
Contract length: 12 months

Work Location: In person

 

💡 Quick Summary

Seeking a career-building opportunity? The Assistant controller - Temporary (12 Month Term) position is now open for candidates interested in the Helper Jobs sector. This role in Calgary offers a professional environment and growth potential.

Requirement Snapshot: Candidates should possess basic communication skills, a proactive attitude, and the ability to work in a team. Experience in Helper Jobs is a plus.

Sponsored

Job Details

Company Name: SULTRAN & PCT

Frequently Asked Questions

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The expected salary for Assistant controller - Temporary (12 Month Term) in Calgary is ₹14,400 - ₹23,040 (Est.) per month. Actual compensation may vary based on experience and negotiation.
No, Assistant controller - Temporary (12 Month Term) is an on-site position based in Calgary. Candidates must be able to commute or relocate to this location.
Basic communication skills, a proactive attitude, and the ability to work in a team are required for Assistant controller - Temporary (12 Month Term). Previous experience in Helper Jobs is a plus. Freshers may also apply depending on the employer's requirements.
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