accounting clerk
About the role
About the Company
The Casilco Corporation is a growing property management company specializing in the leasing, maintenance and management of high-rise and commercial real estate in Southwestern Ontario.
About the Role
Casilco Corporation is seeking an experienced and detail-oriented Accounting Clerk to support the accounting operations of a diverse portfolio that includes:
- 28 Canadian companies
- 9 U.S. condominium properties and related entities
- ~400 residential units
- 74 utility accounts
- 18 corporate credit cards
This position plays a key role in managing accounts payable, intercompany transactions, reconciliations, cash management, property accounting, and regulatory remittances across multiple entities.
Accounts Payable & Payments
- Manage full-cycle accounts payable for 28 companies.
- Review invoices for accuracy, coding, approvals, and entity allocation.
- Process cheque runs, EFT payments, wire transfers, and tenant refunds.
- Reconcile supplier statements and resolve discrepancies.
- Maintain vendor records and online payment platforms.
Accounting & Reconciliations
- Prepare and post journal entries.
- Process intercompany billings and transactions.
- Reconcile vendor accounts, credit cards, and balance sheet accounts.
- Record and reconcile transactions across multiple entities.
- Support month-end and year-end accounting processes.
Banking & Cash Management
- Monitor cash balances and assist with intercompany fund transfers.
- Record banking activity and maintain accurate financial records.
- Coordinate payments to ensure adequate cash flow across entities.
Property & Multi-Entity Accounting
- Process utility, property tax, insurance, and operating expenses for a large real estate portfolio.
- Manage accounting for approximately 400 residential units, commercial properties, agricultural land, and 9 U.S. condominium properties.
- Open and close utility accounts as required and liaise with property managers regarding financial matters.
- Maintain accurate intercompany accounting between Canadian and U.S. entities.
Compliance & Administration
- Assist with HST filings, corporate tax installments, WSIB remittances, and other regulatory payments.
- Maintain organized accounting records and filing systems.
- Prepare reports and supporting documentation for ownership and external stakeholders.
- Support insurance administration, registrations, renewals, and other corporate administrative functions.
Qualifications
- 3+ years of bookkeeping or accounting experience.
- Strong understanding of full-cycle accounts payable and general bookkeeping.
- Experience working with multiple companies, divisions, properties, or related entities.
- Proficiency with QuickBooks and Microsoft Excel.
- Experience with intercompany accounting, reconciliations, and high-volume transaction processing.
- Strong organizational skills, attention to detail, and ability to manage multiple priorities independently.
- Property management, real estate, construction, or multi-entity accounting experience is considered a strong asset.
Pay: $60,000.00-$65,000.00 per year
Work Location: In person
Not the right fit? Search for accounting clerk jobs in Windsor, ON
About Casilco Corporation
Over 40 years ago, Casilco Corporation was established.
It owns, co-owns and manages a portfolio of holdings in the Agriculture, Industrial, Commercial, and Residential sector in Ontario, and the State of Florida.
We are a forward thinking, innovative and dynamic organization, with a European flare.
Similar Jobs
accounting clerk
About the role
About the Company
The Casilco Corporation is a growing property management company specializing in the leasing, maintenance and management of high-rise and commercial real estate in Southwestern Ontario.
About the Role
Casilco Corporation is seeking an experienced and detail-oriented Accounting Clerk to support the accounting operations of a diverse portfolio that includes:
- 28 Canadian companies
- 9 U.S. condominium properties and related entities
- ~400 residential units
- 74 utility accounts
- 18 corporate credit cards
This position plays a key role in managing accounts payable, intercompany transactions, reconciliations, cash management, property accounting, and regulatory remittances across multiple entities.
Accounts Payable & Payments
- Manage full-cycle accounts payable for 28 companies.
- Review invoices for accuracy, coding, approvals, and entity allocation.
- Process cheque runs, EFT payments, wire transfers, and tenant refunds.
- Reconcile supplier statements and resolve discrepancies.
- Maintain vendor records and online payment platforms.
Accounting & Reconciliations
- Prepare and post journal entries.
- Process intercompany billings and transactions.
- Reconcile vendor accounts, credit cards, and balance sheet accounts.
- Record and reconcile transactions across multiple entities.
- Support month-end and year-end accounting processes.
Banking & Cash Management
- Monitor cash balances and assist with intercompany fund transfers.
- Record banking activity and maintain accurate financial records.
- Coordinate payments to ensure adequate cash flow across entities.
Property & Multi-Entity Accounting
- Process utility, property tax, insurance, and operating expenses for a large real estate portfolio.
- Manage accounting for approximately 400 residential units, commercial properties, agricultural land, and 9 U.S. condominium properties.
- Open and close utility accounts as required and liaise with property managers regarding financial matters.
- Maintain accurate intercompany accounting between Canadian and U.S. entities.
Compliance & Administration
- Assist with HST filings, corporate tax installments, WSIB remittances, and other regulatory payments.
- Maintain organized accounting records and filing systems.
- Prepare reports and supporting documentation for ownership and external stakeholders.
- Support insurance administration, registrations, renewals, and other corporate administrative functions.
Qualifications
- 3+ years of bookkeeping or accounting experience.
- Strong understanding of full-cycle accounts payable and general bookkeeping.
- Experience working with multiple companies, divisions, properties, or related entities.
- Proficiency with QuickBooks and Microsoft Excel.
- Experience with intercompany accounting, reconciliations, and high-volume transaction processing.
- Strong organizational skills, attention to detail, and ability to manage multiple priorities independently.
- Property management, real estate, construction, or multi-entity accounting experience is considered a strong asset.
Pay: $60,000.00-$65,000.00 per year
Work Location: In person
Not the right fit? Search for accounting clerk jobs in Windsor, ON
About Casilco Corporation
Over 40 years ago, Casilco Corporation was established.
It owns, co-owns and manages a portfolio of holdings in the Agriculture, Industrial, Commercial, and Residential sector in Ontario, and the State of Florida.
We are a forward thinking, innovative and dynamic organization, with a European flare.