Job Description

**Critical Tasks and Expected Contributions/Results:**



+ Preparation of GST supporting data and documents for reporting to tax authority

+ Manage input tax recovery process on broker commissions

+ Work closely with other team members to support finance operational activities and improve processes relating to GST

+ Review transactions to ensure correct coding of the GL accounting string and ensure these are recorded accurately and in a timely manner.

+ Prepare monthly journals entries and ensure these are appropriately approved and posted on a timely basis.

+ Perform monthly reconciliation of GL accounts as assigned

+ Investigate reconciling items and help improve the reconciliations status.



+ Preparation of monthly and quarterly reporting schedules.

+ Monitor and follow up on outstanding broker invoices relating to commission paid/payable.

+ Support the Accounting Supervisor an...

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