Accounting - Summer Student

Jori International Ltd.Calgary, AB
Onsite

About The Position

We are seeking a motivated accounting student to join our team this summer. This role provides comprehensive exposure to the core areas of a private company’s accounting operations – including bookkeeping, financial reporting, indirect tax reporting, and assurance work. Reporting to the CFO or his delegate, the accounting student will be given the opportunity to develop skills in Accounts Payable, Accounts Receivable, Cash Receipts, Month End procedures. As the Finance & Accounting Summer Student in the NGL team, you will have the unique opportunity to be exposed to a wide variety of work that ranges from assisting with vendor on-boarding, vendor management, data management, journal entries and aid in cash forecasting. This opportunity will allow you to gain insight into supply chain processes, accounting, data management, while growing your professional network, industry knowledge and gaining on-the-job experience. This position is based in Calgary and is mostly in-office. WORK TERM: 4 months – May – August 2026

Requirements

  • Completion of a four-year undergraduate degree from a Canadian university (required)
  • Enrollment in or completion of the CPA Professional Education Program (PEP) (required)
  • Strong understanding of accounting principles and tax concepts.
  • Excellent communication, organizational, and time management skills.
  • High degree of accuracy and attention to detail
  • Exemplary interpersonal skills and exceptional verbal and written communication skills
  • Excellent time management and organizational skills
  • Well organized and able to handle multiple tasks quickly and accurately
  • High energy, flexible and has a willingness to take initiative
  • Demonstrates creativity and ability to rely on experience and knowledge to make decisions confidently.

Nice To Haves

  • Proficiency with QuickBooks, Excel, and other accounting software

Responsibilities

  • Maintain accurate bookkeeping and general ledger records.
  • Prepare bank reconciliations, financial statements, and working papers.
  • Support GST filings.
  • Assist with monthly reporting and reconciliations
  • Work collaboratively with the team to meet deadlines and maintain quality standards.
  • Contribute to the implementation of efficient accounting and internal control systems.
  • Ad hoc projects
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