Accountant, Operations Finance

Sienna Senior Living
Onsite

About The Position

At Sienna, we empower our team members across Ontario, British Columbia, Saskatchewan and Alberta to help our residents live the life they desire and deserve. Our purpose is simple: to cultivate happiness in daily life! We aspire to cultivate an environment and culture where team members feel valued, heard and empowered to do meaningful work. We offer a number of programs and benefits that support team members’ financial, personal and professional needs. Reporting to the Manager, Operations Finance, the Accountant, Operations Finance is responsible for preparing monthly financial statements and other business units, including journal entry preparation and posting, review of accruals and the completion of account reconciliation. You will be welcomed to a high-energy, collaborative and people focused team where we offer a variety of engaging programs to help make your day to day corporate experience meaningful! The Accountant, Operations Finance, will collaborate with other members of the Finance department and managers to facilitate timely and accurate financial reporting.

Requirements

  • Post-secondary education in Finance, Business, Commerce or related discipline.
  • A minimum of 2-3 years’ experience in a general accounting position, including general ledger account reconciliation.
  • Experience working with Microsoft Suite (Word, Outlook, Excel, PowerPoint, etc.).

Nice To Haves

  • Chartered Professional Accounting Designation or working towards completion preferred.
  • Previous experience in long-term care or health care industries is considered an asset.
  • Strong organization skills with an ability to balance multiple projects in a fast paced environment, while upholding attention to detail.
  • Ability to work effectively within a team environment and independently in a fast paced environment with minimal supervision.
  • Experience with Yardi Voyager accounting systems is considered an asset.

Responsibilities

  • Ensure records (paper and electronic) are utilized, stored, maintained, retained and destroyed as per policies;
  • Maintains confidentiality of all financial, personal and resident data;
  • Archives all files, bank statements, journal entries etc., as required;
  • Prepare monthly financial accounts, records and reports for the communities and residences and other business units as assigned, including journal entry preparation and posting, review of accruals, and other items necessary for the production of timely and accurate financial reports;
  • Analyze financial data to ensure accuracy and completeness of the financials;
  • Provide support services to the various business units;
  • Prepare monthly reconciliations of all balance sheet accounts and specific income statement accounts;
  • Liaise with Accounts Receivable, Accounts Payable and Payroll team members to ensure timely exchange of information as required;
  • Ensure trust account reconciliations and cash audits are prepared accurately and submitted on time, and all reconciling items are resolved and recorded on a timely basis;
  • Prepare quarterly working papers for the external audits;
  • Perform other related duties as assigned.

Benefits

  • A competitive compensation and vacation package
  • Employer Paid Health & Dental Benefits
  • RRSP with Company Match
  • Share Ownership and Reward Program (SOAR)
  • Employee Share Purchase Plan with Company Match
  • Continuous learning and growth so you have the skillset needed to succeed and take on new challenges
  • A welcoming culture that values diversity and differing perspectives, experiences and beliefs
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