Job Description
Description
What NAV CANADA offers you:
Challenging, team-oriented work environment
Competitive compensation and benefits
Defined benefit pension plan
Opportunities for growth and development
Flexible work arrangements
Diverse and inclusive workforce
Key Accountabilities:
Carry out financial analysis, verification, processing and posting of journal entries to G/L including adjustments, accruals, reversals and recurring entries.
Ensure reasonableness of account balances. Analyze, review, verify, monitor and track transactions for operating and capital expenditures and staffing data, including extracting departmental data from forecasting/budgeting system.
Analysis of monthly variances of actual expenditures from planned.
Prepare monthly financial reporting for review by Senior Leadership Team.
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