Brock Solutions is an engineering solutions and professional services company specializing in the design, build and implementation of real-time operational solutions for broad based industrial/manufacturing and transportation/logistics organizations globally. With approximately 900 employees worldwide. Brock Solutions is a privately held, employee owned organization with over 30 years in the real-time operational solutions space.
As Brock Solutions continues to grow and respond to the on-going requirements of major clients, we need to add talent to our base of outstanding professionals. We are currently seeking a General Accounting Associate to join our team of experienced professionals located at our head office in Kitchener, ON.
Employee-owned company with profit sharing, comprehensive benefits, company events and charitable initiatives, a diverse workplace, BBQs and Lunch & Learns, Sport teams, Group fitness initiatives, and a “We Win as a Team” culture are just some of the reasons our employees love working at Brock!
Why work at Brock?
- Competitive Compensation Package
- Profit Sharing
- Extended Health Benefits
- Continuous Career Growth
- Flexible Working Hours
- Company Events and Celebrations
- Travel Opportunities
Responsibilities may include:
- Complete payments and control expenses by receiving, processing, verifying and reconciling invoices/receipts
- Charge expenses to accounts and costs centers by analyzing invoice/expense reports; recording entries
- Pay vendors by monitoring discount opportunities, verifying tax ID numbers, scheduling and preparing checks, and resolving purchase orders, contracts, invoices, or payment discrepancies and documentation
- Work with project accountants, project/account managers to collect accounts receivable and reconcile customer accounts
- Performs month end tasks such as preparing/posting recurring and non-recurring general journal entries & generating financial reports
- Work with transactions involving multi-currency and tax considerations
- Performs account analysis and reconciliations, including bank statements (cash flow projection) and general ledger accounts (e.g., intercompany, payroll-related, etc.) and working with relevant parties to identity and resolve any discrepancies
- Assists in responding to external audit requirements