Toyota Canada

Product Accounting Associate

Check with seller / month
Toronto, Ontario, Canada Accountant Active
Actively Hiring Toronto Full Time
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Job at a Glance

Category
Accountant
Location
Toronto, Ontario, Canada
Salary
Check with seller
Job Type
Full Time
Company
Toyota Canada
Status
Open & Active

Job Description

Job Description
Product Accounting Associate
About Toyota Financial Services
Toyota Financial Services (TFS) provides retail, leasing and wholesale financial services to Toyota and Lexus dealerships and customers across Canada. TFS is a member of Toyota Financial Services Corporation (TFSC), a wholly owned subsidiary of Toyota Motor Corporation in Japan with the Canadian operation headquarters in Markham, Ontario.
What Sets Us Apart?
At Toyota Financial Services (TFS), you will help create best in class customer experiences in an innovative, collaborative and team focused environment. TFS is an important part of the Toyota family, an award-winning global company, recognized worldwide for our technological leadership and superior standards of quality, continuous improvement, and environmental responsibility.
TFS currently has an exciting full-time permanent opportunity as a Product Accounting Associate, reporting to the Customer Accounting Supervisor. This role will reside in our Markham Head Office.
We have implemented a hybrid work environment, and our head office is located in Markham, ON. Number of days worked in office is subject to role requirements. More details will be discussed during the interview process.
What You’ll Be Doing:
Accurate and timely posting of transactions to customer accounts in compliance with financial policies and procedures, including appropriate reconciliations.
Assist in the processing of customer refunds and vendor payments
Accurate and timely processing various invoices, including taxes payments in compliance with financial policies and procedures.
Support Customer Accounting Supervisor with other activities as required including acting as a backup support for other team members.
Support with journal entries including accounts reconciliations at month-end.
Work collaboratively with various stakeholders to investigate and resolve issues.
Support the department Kaizen’s initiatives by contributing good ideas to improve working processes.
Support the audit process by providing the information as required by the auditors.
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