Finance Financial Jobs in Toronto
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Finance Analyst
Finance Analyst
Director of Finance, Canada Operations
Director of Finance, Canada Operations
Director of Finance
Director of Finance
Business Manager, Finance
Business Manager, Finance
Finance Manager
Finance Manager
Finance Business Manager
Finance Business Manager
Director of Finance, Controlling
Director of Finance, Controlling
Director, Finance
Director, Finance
Finance Transformation EPM - Technical Solution Architect - Senior Manager
Finance Transformation EPM - Technical Solution Architect - Senior Manager
Finance Transformation EPM - Senior Manager - OneStream Solution Architect
Finance Transformation EPM - Senior Manager - OneStream Solution Architect
Finance Transformation - EPM Consultant (Senior or Manager Level)
Finance Transformation - EPM Consultant (Senior or Manager Level)
Finance Transformation EPM - Senior Manager - Anaplan Solution Architect
Finance Transformation EPM - Senior Manager - Anaplan Solution Architect
Analyst, Finance
Analyst, Finance
Director of Finance (Contract)
Director of Finance (Contract)
Finance & Accounting Manager - May 2026 start/ Gestionnaire des finances et de la comptabilité - début en mai 2026
Finance & Accounting Manager - May 2026 start/ Gestionnaire des finances et de la comptabilité - début en mai 2026
Director of Finance - Real Estate / Asset Management - Toronto
Director of Finance - Real Estate / Asset Management - Toronto
Finance Manager
Finance Manager
Finance Associate (Contract)
Finance Associate (Contract)
Senior Manager, Finance (Contract)
Senior Manager, Finance (Contract)
Finance Co-Op Student
Finance Co-Op Student
About the role
The Finance Analyst is responsible for managing all aspects of SG&A (Selling, General & Administrative) financial forecasting, analysis, and reporting, as well as overseeing payroll processes and compliance. This role ensures that monthly financial close processes for SG&A are performed accurately and on time, leads payroll coordination via Dayforce, and supports strategic budgeting and cash flow planning with the Senior Finance Analyst. By providing timely, data-driven insights and supporting compliance with tax filings, this role helps enable effective decision-making and financial stewardship across the organization.
Key Responsibilities SG&A Forecasting, Reporting & Analysis
- Develop and maintain detailed SG&A forecasts across departments on a monthly and annual basis.
- Validate month-end SG&A actuals, collaborating with stakeholders to ensure accurate accruals and budget alignment.
- Produce variance analyses and dashboards to highlight trends and cost drivers.
- Provide insights into corporate and departmental SG&A budget performance for leadership reporting and business planning.
- Partner with stakeholders to prepare SG&A projections for strategic plans and business cases.
Operational Forecasting & Budgeting
- Support Head of Finance on the annual budget preparation and monthly forecasting cycles, along with the Senior Finance Analyst.
- Support development of predictive models for cash flow and revenue forecasting.
- Upload and maintain forecast templates, with guidance from Head of Finance.
Payroll Ownership & Tax Compliance
- Serve as the primary finance liaison for Dayforce payroll processing, supporting HR in payroll-related matters.
- Coordinate and manage monthly payroll accruals and journal entries.
- Prepare and file payroll-related government returns, including source deductions and other regulatory filings.
- Ensure payroll costs are correctly allocated across business units and projects.
Month-End Close (SG&A and Payroll)
- Lead preparation of monthly SG&A-related accruals and expense entries.
- Review and validate journal entries tied to payroll, benefits, training, travel, and other administrative expenses.
- Assist with project-related accruals and journal entries as determined by month-end timelines.
- Collaborate with operations, supply chain, and legal to review contracts and vendor performance.
Cash Forecasting & Treasury Support
- Forecast cash needs related to SG&A, including recurring payroll runs, administrative vendor payments, and tax remittances.
- Lead monthly cash balance reconciliations in partnership with accounting.
- Highlight cash flow risks and support treasury planning efforts.
Cross-functional Coordination & Support
- Identify process improvement opportunities in SG&A reporting and budgeting processes.
- Contribute to documenting SOPs and streamlining monthly close tasks for SG&A.
Qualifications
- CPA designation or in progress.
- 3+ years of experience in financial reporting, payroll coordination, or business partnering roles.
- Experience working with payroll systems, preferably Dayforce.
- Strong Excel skills; familiarity with ERP systems (e.g., Microsoft Dynamics) an asset.
- Excellent organizational skills and attention to detail.
- Strong interpersonal skills and ability to partner with HR, operations, and department heads.
While all qualified candidates are invited to apply, we particularly welcome applications from women, persons with disabilities, First Nations, Métis and Inuit peoples, members of visible minorities, and 2SLGBTQ+ persons.
PowerON will accommodate candidates under the AODA legislation in all aspects of the hiring process. Please notify us if accommodation is required.
About PowerON Energy Solutions
PowerON supports large-scale electrification projects by providing turnkey solutions encompassing all electrical infrastructure from the electricity grid connection to vehicle chargers, including:
- Infrastructure delivery and project management;
- Operations and maintenance;
- On-site generation, battery storage and back-up power; and,
- Smart charging and energy management.