Our Client is based in Toronto focusing on commercial and residential real estate investment and asset management.



Reporting to the Financial Controller, you will collaborate with the accounting team to assist in preparing monthly Financial Statements and Management reports for various entities.


– Manage the full accounting cycle for local and non-resident asset and investment portfolios

– Handle all necessary AP/AR transactions, including verifying transaction information and preparing client invoices

– Maintain monthly rent rolls in accordance with leases

– Prepare monthly bank reconciliations, journal entries, and supporting working papers and financial statements for year-end and tax returns following ASPE

– Reconcile CAM and Tax recoveries and billings in line with tenant leases and operating budgets

– Fulfill internal and external audit requests from financial institutions and CRA

– Consolidate external financial information with internal corporate files for GST/HST filing, year-end, T1, T2, and Section 216 requirements

– Process other government returns/filings such as T1, T2, Section 216, GST/HST, QST, NR6, NR4, T4, ROE, EHT,  WSIB

– Perform other duties as assigned by the Controller.


– A university degree in Accounting or Finance

– Enrollment in the CPA program is an asset

– 3-5 years of experience in a similar position

– Familiarity with QuickBooks Online would be an asset

– Proficiency in MS Office (Word, Excel, and Outlook)

– Strong interpersonal, verbal, and written communication skills

– Initiative and the ability to work independently and as part of a team

To apply for this job email your details to info@marlersearchgroup.com