Accounting Specialist Lead

Tri-Mach Group Inc. • elmira, Canada

Location elmira, on
Job Type Full-time
Posted June 08, 2026

Role Description

Primary Responsibilities

  • Oversee the day-to-day coordination of Accounts Payable
  • Bank reconciliations
  • Month End journal entries including foreign exchange
  • Audit and verify accuracy of general ledger coding
  • Input and process wire payments, online bill payments, EFT payments, and account transfers
  • Administration of Spend Dynamics
  • Support month-end and year-end closing activities including preparation of journal entries, account reconciliations, and working papers
  • Implement and monitor cross functional business policies, procedures, and internal controls while making recommendations for continuing improvements
  • Resolve vendor invoice problems with Purchasing
  • Verify the accuracy of Accounts Payable batch entry
  • Complete full Accounts Payable cycle for invoices
  • Field calls from and respond to vendor inquiries al...

Ready to Apply?

Apply for this Position