Accounting Manager

Canada Rocket CompanyToronto, ON

About The Position

The Accounting Manager is responsible for the day-to-day accounting operations of Canada Rocket Company, including the general ledger, month-end close, financial reporting, accounts payable, and treasury operations. Accounting is currently performed by an external provider; the Accounting Manager will lead the transition of these activities in-house and establish the supporting processes, systems, and internal controls. The role carries significant scope in the design and implementation of CRC's procure-to-pay environment and in the deployment of AI-native processes at the enterprise level, and serves as the company's principal point of contact for external tax, SR&ED, and grant advisors.

Requirements

  • CPA designation.
  • Minimum six years of relevant accounting experience.
  • Demonstrated ability to independently perform and complete a full accounting cycle, including month-end close and financial statement preparation, without supervisory support.
  • Experience developing accounting processes, workflows, or controls in an environment where they were not previously established.
  • Experience in an early-stage or high-growth company.
  • Full-cycle accounts payable experience.
  • Demonstrated use of AI tools in a professional finance or accounting setting, and the judgment to apply them to process design rather than to isolated tasks.
  • Strong analytical skills and advanced proficiency in Excel.

Nice To Haves

  • Eight or more years of relevant accounting experience.
  • Public practice experience, followed by industry experience in a hands-on accounting capacity.
  • Experience with both small-business accounting platforms such as QuickBooks Online and enterprise-grade systems such as NetSuite or Microsoft Dynamics.
  • Cost accounting, project accounting, or job costing implementation experience.
  • SR&ED, government grant, or investment tax credit experience.
  • Purchasing or procurement system selection and implementation experience.
  • Experience in manufacturing, hardware, or another capital- or inventory-intensive industry.
  • Canadian payroll processing and statutory remittance experience.
  • Multi-currency operations and import transaction experience.
  • Working knowledge of a programming or query language, such as SQL, Python, or VBA.
  • Experience configuring, administering, or integrating business software applications, including workflow automation between systems.

Responsibilities

  • Lead the transition of accounting activities from the external provider to in-house execution
  • Develop and document accounting policies and procedures, and design and operate internal controls appropriate to the company's stage.
  • Design and deploy AI-native accounting and finance processes at the enterprise level, applying AI tooling to close, reconciliation, documentation, and transaction workflows in a controlled and auditable manner.
  • Manage the month-end close cycle and prepare monthly financial statements, including accruals, prepaid expenses, and depreciation.
  • Establish and maintain the fixed asset register and related capitalization policies.
  • Support the evaluation and implementation of a scaled accounting or ERP platform as company requirements evolve.
  • Maintain the general ledger and chart of accounts, record transactions, and perform bank, credit card, and balance sheet reconciliations.
  • Maintain payroll accounting and employee-related accruals, and assume responsibility for payroll processing and statutory remittances as the function matures.
  • Lead the selection, implementation, and ongoing administration of a purchasing system integrated with the accounting platform.
  • Design and maintain purchase approval, receiving, and matching workflows, including control thresholds and supporting documentation standards.
  • Maintain reporting on open purchase commitments.
  • Manage the accounts payable cycle and the corporate card and expense reimbursement programs, including vendor onboarding, invoice processing and coding, payment run preparation, and policy compliance.
  • Support the CFO in the design of the company's program costing and cost accounting framework.
  • Maintain the project accounting structure, cost allocation methodology, and supporting timekeeping processes.
  • Prepare program and departmental cost reporting.
  • Manage the SR&ED claim process in conjunction with external consultants, with a view to performing the process substantially in-house over time.
  • Maintain eligible cost tracking, substantiation, and documentation for government grant and funding programs, and prepare periodic claims and cost reports.
  • Act as the primary liaison to external advisors for corporate income tax compliance, and support insurance administration and renewals.
  • Prepare and maintain the rolling cash flow forecast.
  • Manage daily cash operations across Canadian and U.S. dollar accounts, including foreign exchange conversion, cash positioning, banking administration, and collection of grant funding receivables.
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