Staff Accountant
Confidential
Posted: May 11, 2026
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Quick Summary
We are seeking a highly motivated and detail-oriented Staff Accountant with strong analytical and problem-solving skills to join our team in Vancouver, British Columbia.
Required Skills
Job Description
Position: Staff Accountant
Program: Finance (Administration)
Schedule: Hybrid, temporary position at 35 hours per week, starting mid-June 2026 until mid-June 2027
Location: Vancouver
Posting Date: May 11, 2026
Closing Date: May 21, 2026
Why Choose Us!
Join ISSofBC, one of the largest and first newcomer and refugee agencies in Canada. As well as being a values-driven organization, we pride ourselves on diversity, inclusion, innovation, and transparency. You can make lifelong friends and connections when you join our family. What's more, we also have multiple locations and offer flexible working and shorter working weeks than most organizations.
Summary
The Staff Accountant supports the integrity of financial records, contributes to month-end close and reconciliations, helps maintain strong documentation and controls, and provides responsive service to colleagues across the organization. The role also requires the ability to work effectively with financial data, prepare clear and concise written reports and schedules, and communicate professionally with staff across the organization.
How You Will Make a Difference
Accounting Operations and Transaction Support
Prepare and process routine journal entries with appropriate supporting documentation.
Assist with coding, review, and validation of financial transactions to ensure accuracy and compliance with internal policies.
Support general ledger maintenance and account analysis, including subledgers such as Fixed Assets.
Investigate discrepancies and follow up on outstanding items in a timely manner.
Assist with the proper recording of accruals, prepaid expenses, allocations, and other recurring accounting entries.
Support accurate financial treatment of program, departmental, and funding-related transactions.
Provide backup and overflow support to Accounts Payable as required, including assisting with transaction review, processing and ensuring proper documentation is maintained.
Reconciliations and Month-End Close
Prepare monthly balance sheet reconciliations for assigned accounts.
Assist with bank reconciliations, clearing account reviews, and subledger-to-general-ledger reconciliations.
Support month-end and year-end close activities, including working papers and schedules.
Ensure reconciliations are complete, timely, clearly documented, and reviewed as required.
Escalate unusual items, unresolved variances, or control issues to the Controller or Senior Accountant.
Reporting and Financial Information Support
Assist in preparing routine financial schedules, reports, and supporting analyses.
Prepare clear, concise, and well-organized supporting schedules, written summaries, and other finance documentation as assigned.
Support the preparation of funding reports, grant-related schedules, and audit working papers as assigned.
Help maintain organized financial records and supporting documentation for reporting, audits, and compliance reviews.
Contribute to the accuracy and completeness of financial data used for management reporting and decision support.
Internal Controls, Documentation, and Compliance
Follow established accounting policies, procedures, and internal controls.
Help ensure transactions are supported by complete and appropriate documentation.
Identify process gaps, recurring errors, or inefficiencies and raise them constructively.
Support audit readiness through organized files, reconciliations, and clearly traceable documentation.
Maintain confidentiality and handle financial information with care and integrity.
Assist with maintaining accurate vendor records and supporting documentation, ensuring vendor accounts are properly set up, updated, and authorized in accordance with internal controls.
Service to Internal Stakeholders
Respond professionally and promptly to finance-related questions from staff and internal departments.
Communicate financial information in a clear, concise, and respectful manner, both verbally and in writing.
Work collaboratively with program and administrative teams to clarify financial information and documentation requirements.
Support a finance service model that is accurate, respectful, timely, and solutions oriented.
Help improve user understanding of finance processes through clear communication and follow-up.
Support staff and vendors with basic Accounts Payable related inquiries, referring complex issues to Accounts Payable or senior finance staff as appropriate.
Systems and Continuous Improvement
Use accounting and financial systems effectively and accurately.
Support improvements to templates, working papers, checklists, and recurring finance processes.
Contribute to standardization and consistency across finance activities.
Learn and adopt best practices in documentation, reconciliation, reporting, and system use.
Participate in process improvement initiatives that help modernize the finance function.
Use productivity and reporting tools effectively and show openness to learning systems such as Microsoft Dynamics / Sparkrock, Power BI, and Copilot where applicable.
What You Bring
Diploma or degree in Accounting, Finance, Commerce, or a related field and minimum 1–2 years of accounting or bookkeeping experience, or equivalent co-op/internship experience or equivalent combination of education, training and experience.
Progress toward a CPA designation is an asset but not required for entry into the role.
Experience with reconciliations, journal entries, account analysis, month-end support, or financial schedule preparation is an asset.
Experience in a non-profit, multi-program, or publicly funded environment is an asset.
Experience working with accounting/ERP systems is an asset. · Experience with Microsoft Dynamics 365 or Sparkrock is a strong asset.
Experience with Power BI and Microsoft Copilot is an asset.
Exposure to Accounts Payable processes, such as vendor setup, invoice processing, or payment support, is an asset.
Basic understanding of accounting principles and financial statements.
Strong proficiency in Microsoft Excel, including formulas, sorting/filtering, lookups, data review, and working with financial spreadsheets.
Ability to prepare clear, concise, and accurate financial schedules, written summaries, and supporting documentation.
Strong report writing proficiency with the ability to organize information logically and present it in a professional format.
Ability to work accurately with financial data and supporting documents.
Strong organizational and file management skills.
Demonstrated cultural competency and commitment to working effectively with diverse populations.
Possession of and the ability to maintain a clear provincial Criminal Record Check.
Position Competencies
Ethics and Integrity: Consistently makes decisions with integrity and builds trust through transparency, fairness and accountability.
Problem Solving: Analyzes issues, considers alternatives, and demonstrates effective decision-making skills to deliver innovative, impactful results.
Functional Knowledge: Demonstrate deep expertise to solve complex problems and drive initiatives effectively.
Critical Thinking Skills: Consistently apply problem-solving skills to analyze complex situations, evaluate multiple perspectives, and make well-informed decisions.
Core Organization Competencies
Delivering Results: Consistently achieve results by setting clear goals, prioritizing effectively, and following through with high-quality outcomes.
Values Alignment: Demonstrates and promotes organizational values through daily actions and decision-making, fostering a positive and inclusive work environment.
Valuing Diversity: Actively contributes to creating an environment where people from diverse backgrounds and abilities have equal access to services and resources
ISSofBC Value Proposition
Hiring Salary: $24.62-34.50 per hour.
Dependent on education, training, experience, and internal equity. Wage grids are reviewed annually. We are a proud and certified Living Wage BC Employer. Our current total compensation package continues to meet the requirements of living wages in BC to support our employees.
105 hours of vacation and 35 hours of personal leave.
Extended health and dental benefits.
Employee and Family Assistance Program (EFAP).
Employer RRSP contribution at 3% with no required employee contribution. Optional employee RRSP contribution at 1-5% with employer contribution up to 5%.
Inclusive culture and supportive workplace with opportunity for innovation and development.
Values-based organization with collaborative peers with a wide range of backgrounds and talents.
We acknowledge Indigenous Peoples on whose territories we are privileged to work, welcome and support newcomers, including immigrants, refugees and students. We honour the Nations who have always cared for these lands, waters, and air. In line with ISSofBC's commitment to equity, we promote inclusive employment opportunities for women, Indigenous Peoples, people with disabilities, persons of diverse sexual orientations, gender identities or expressions (2SLGBTQI+), and racialized individuals. Guided by our values of Purpose, Improvement, Belonging, and being Genuine, we strive to create a collaborative environment where diverse perspectives and unique strengths are celebrated.
If You are Passionate about Making a Difference, Apply Now!