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Senior Accountant Redstone Food Group - CVG Partner

Job in Ottawa, Ontario, Canada
Listing for: Clairvest
Full Time position
Listed on 2026-01-14
Job specializations:
  • Accounting
    Financial Reporting, Accounting Manager
  • Finance & Banking
    Financial Reporting, Accounting Manager
Salary/Wage Range or Industry Benchmark: 75000 - 85000 CAD Yearly CAD 75000.00 85000.00 YEAR
Job Description & How to Apply Below
Position: Senior Accountant with Redstone Food Group - CVG Partner

Current job opportunities are posted here as they become available.

Senior Accountant with Redstone Food Group - CVG Partner

Department: Finance & Accounting

Location: Mississauga, ON

APPLICATION INSTRUCTIONS

Please email your resume in .doc, .docx, .pdf, .txt, .rtf, .html, or .ascii format to the address below. If you wish to enclose a cover letter, please include it in the body of your email message.

Redstone Food Group Ltd. () is seeking a proactive, detail-oriented, and highly analytical individual to oversee a range of bookkeeping and operational finance tasks at our new state of the art commercial baking facility in Mississauga. This role is ideal for someone who thrives on working with data, performing financial analysis, and leveraging advanced Excel and database tools to support informed business decisions.

This position offers a clear path for growth. You will start by taking ownership of the accounting for one of our four bakery facilities, overseeing financial reporting, including P&L’s, balance sheets, capital expenditure tracking, and cash flow management. As you demonstrate expertise and leadership, you may have the opportunity to expand your responsibilities across multiple facilities, working with or managing bookkeepers at each location.

This role is ideal for an ambitious candidate seeking to grow within a dynamic and expanding organization.

Location: 1130 Central Parkway West, Mississauga, ON, L5C 0A5
Department: Finance
Reports To: Comptroller
Also Supports: General Manager (Operationally)
Contact for: Financial reporting, general ledger maintenance, vendor payments, reconciliations, and payroll coordination.
Application:  by no later than August 29, 2025

Position Summary: The Senior Accountant is responsible for maintaining accurate financial records and supporting timely and accurate financial reporting. This role plays a critical part in daily accounting operations, including general ledger management, account reconciliations, accounts payable and receivable processing, and payroll support plus HST filing and customs reporting and clearance. The accountant ensures compliance with ASPE and internal accounting and operational policies, and contributes to effective financial controls, audit readiness, and cross-departmental collaboration with operations, procurement, and Quality Assurance teams.

General Managers and other Vice Presidents may assign additional operational tasks related to the division or plant activities, requiring the accountant to balance corporate financial standards with real-time operational support.

Key Responsibilities:

General Accounting and Reporting
  • Maintain the general ledger; ensure timely and accurate posting of journal entries and transactions.
  • Support month‑end and year‑end close processes, including preparation of accruals and reporting schedules.
  • Assist with internal financial reporting, commentary and budget variance analysis and review.
Accounts Payable
  • Verify, arrange approval and review and process vendor invoices and employee reimbursements.
  • Ensure timely and accurate vendor payments in coordination with procurement and operations.
  • Maintain accounts payable records and resolve invoice or payment discrepancies.
Accounts Receivable
  • Review or supervise the entry of customer purchase orders; generate and issue invoices.
  • Post customer deductions and payments, ensuring accurate application and reconciliation.
  • Report on and follow up on outstanding accounts to support timely collections and accurate receivables tracking.
Account Reconciliations
  • Perform monthly balance sheet reconciliations and resolve any discrepancies.
  • Maintain appropriate supporting documentation for audit and reporting purposes.
  • Assist with continuous improvement of reconciliation templates and procedures for greater accuracy and efficiency.
Payroll and Tax Support
  • Verify employee timesheets with the production team to ensure payroll accuracy.
  • Submit payroll on a timely basis and post payroll‑related journal entries.
  • Assist with periodic tax filings, including HST and other remittances as required.
Internal Controls and Audit
  • Ensure compliance with ASPE and adherence to internal accounting procedures.
  • Supp…
Position Requirements
10+ Years work experience
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