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Financial Analyst


The City of Kenora


Location

Ontario | Canada


Job description

The City of Kenora is a municipality nestled in Northwestern Ontario, just two hours east of Winnipeg, Manitoba, where Lake of the Woods offers a breathtaking backdrop to your career. Experience a commute-free lifestyle while enjoying competitive wages, enticing benefits, and a work environment that turns every day into a win. Join us at the City of Kenora! Reporting to the Treasurer, the Financial Analyst, is responsible for implementing robust, timely and efficient accounting processes and financial reporting that meets the needs of both external and internal stakeholders. The incumbent is responsible for the evaluation, implementation, and monitoring of effective internal controls over business processes and financial reporting, and provides support to the organization through training, advice, and analysis as the technical expert on generally accepted accounting principles. This individual is responsible for the monthly and annual reconciliation of capital projects along with the management of key financial accounts and month end processes. The successful candidate will work with the Engineering team to create and oversee the management of capital projects to ensure spending is within targeted budget numbers. The individual will work with Senior Financial Leaders in various areas of the accounting cycle and assist with grant applications/tracking. The Financial Analyst will: Prepare quarterly and annual financial statements in accordance with Public Sector Accounting Standards, the Municipal Government Act and City policies and procedures. Analyze quarterly and annual financial statements to identify trends over time, provide feedback for future budget cycles and determine the completeness and accuracy of the information reported. Prepare supporting documentation necessary for detailed review and audit of financial statement balances for significant and/or unusual transactions. Responsible for the review and coordination of the work team to ensure appropriate documentation is in place to support financial statement balances. Play a key role in the development, preparation and consolidation of budgets and monthly forecasts by working closely with cross-functional teams. Responsible for the monthly reconciliation of actual spending to budgets to ensure spending is within the required limits. Ensures capital spending follows established policies and is in compliance with required targets. Completes the capitalization process when projects are completed and ensures all required information is recorded and categorized into the respective asset classes. Works with Finance and Engineering team in the creation of the annual and 5-year capital plan. Ensures that internal reporting meets the needs of managers for business decision making. Ensures that external reporting meets the objectives of council and the public. Responsible to assess risks, on an ongoing basis, related to financial reporting and business processes, and determine appropriate responses. Implement internal controls over financial reporting processes and monitor them for effectiveness to ensure financial reporting is accurate. Provides support to the organization through training, advice and analysis as a technical expert on generally accepted accounting principles, internal controls, and financial analysis Assist with coordinating and preparing year-end audit assignments/documents. Assist with and analyzes quarterly Statistics Canada and third-party financial reporting. Assesses risks related to financial reporting and business processes. Assist with the development/update of key policies related as required. Monitor and maintain financial data and software systems to ensure data completeness and accuracy. Identify necessary changes to data structure to meet reporting needs.


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