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Credivera

Vice President Finance

NEW
Calgary, Alberta, CanadaFull-timeGlobal
šŸ“Š SenioršŸ  On-site
ActivePosted within the last 30 days

Job Description

[AI-summarized by JobStash]

You will anchor the company's financial operations and controls while providing strategic financial guidance. You will manage cash flow, invoicing, payables, reconciliations, bank administration and maintain complete working papers. You will prepare monthly internal statements and annual statements for assurance engagements. You will build budgets, forecasts and monthly reporting, analyse variances and deliver financial models to inform decisions. You will manage Canadian and US taxation filings, support SRED and corporate filings, and complete payroll-related filings. You will run payroll and benefits adjustments, support onboarding and offboarding, and assist with ESOP documentation. You will coordinate with external legal counsel on contracts, corporate filings and resolutions and maintain corporate records. You will prepare financial updates, KPI reporting and AGM materials, maintain the cap table, and support communication with shareholders. You will identify grant opportunities, support applications, maintain regulatory filings and manage corporate insurance.

Requirements

  • ā—CPA designation preferred with 5+ years of experience or Accounting Degree with significant relevant experience
  • ā—Five to ten years of progressive finance leadership experience
  • ā—Strong technical accounting skills and experience preparing financial statements
  • ā—Experience with Canadian and US taxation
  • ā—Experience with forecasting and financial modelling
  • ā—Ability to work onsite in Calgary

Responsibilities

  • ā—Oversee cash flow
  • ā—Manage invoicing
  • ā—Manage payables
  • ā—Perform reconciliations
  • ā—Administer corporate credit cards and bank accounts
  • ā—Maintain accurate accounting and working papers
  • ā—Deliver monthly internal financial statements
  • ā—Prepare annual statements for assurance engagements
  • ā—Maintain and enforce strong financial controls
  • ā—Build budgets and forecasts
  • ā—Produce monthly financial reporting
  • ā—Analyse variances and provide financial modelling
  • ā—Manage GST HST PST and US state sales tax
  • ā—Support SRED and corporate tax filings including T2 and US filings
  • ā—Complete payroll filings such as T4 T5 T3 and related US filings
  • ā—Run payroll and manage benefits adjustments
  • ā—Support onboarding offboarding and compensation reviews
  • ā—Prepare ESOP documentation
  • ā—Coordinate with external legal counsel on contracts trademarks and corporate filings
  • ā—Maintain contract templates and corporate records
  • ā—Prepare financial updates KPI reporting resolutions and AGM materials
  • ā—Maintain the cap table and support shareholder communications
  • ā—Identify and support grant applications
  • ā—Manage corporate insurance and regulatory filings

Tech Stack

financial modellingcap tableESOPbank administrationpayrollfinancial reportingcorporate filingsSREDR&D creditinsurance
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