Accountant

PCL Construction

The Role

Overview

Handles AP/AR, vendor setup, reporting, cash deposits, tax compliance for projects.

Key Responsibilities

  • vendor setup
  • transaction reconciliation
  • tax compliance
  • ad hoc reporting
  • accounts payable
  • financial reporting

Tasks

-Responsible for review and setup of new vendors and vendor changes. -Reconciles and records intercompany transactions and departmental reports. -Assists with tax compliance and remittances. -Provides project teams with ad hoc reports and analysis as the need arises. -Prepares bank deposits and cash receipt entries. -Processes all accounts payable and accounts receivable in a timely and accurate manner. -Assists with the assembly of information for internal and external financial reporting requirements. -Performs clerical and data entry support to meet contractual requirements for operational and basic accounting.

The Company

About PCL Construction

-A prominent group of independent construction companies operating across Canada, the United States, the Caribbean, and Australia. -Headquartered in Edmonton, Alberta, and operates as a 100% employee-owned company, fostering a collaborative and innovative work environment. -Renowned for a comprehensive range of services, including general contracting, construction management, and design-build services. -Serves various sectors such as civil infrastructure, heavy industrial, and buildings markets, handling projects of all scales and complexities. -Skilled in managing projects related to transportation, water infrastructure, institutional, educational, residential, commercial, mining, oil and gas, renewable energy, and sports facilities. -At the forefront of leveraging advanced digital construction technologies and sustainable practices to deliver innovative solutions that exceed client expectations.

Sector Specialisms

Buildings

Civil

Industrial