Accounts Payable Clerk

BC PensionsVictoria, BC
CA$54,684 - CA$61,648Hybrid

About The Position

The Accounts Payable Clerk services five pension plans and the Pension Corporation. This position is responsible for processing corporate disbursements, ensuring they are transacted in accordance with administration policies and procedures, and preparing and reconciling accounting entries and reports. This position is located in our Victoria, BC office. You will have the flexibility to work part of the time on-campus and part of the time off-campus. The requirement for on-campus presence is a minimum of 40% of your schedule in a month. BC Pension Corporation is one of the largest professional pension service providers in Canada. We serve over 780,000 active and retired members and more than 1,000 plan employers, paying out more than $540 million in benefits each month (over $6.5 billion a year) to over 240,000 retirees. One in eight BC citizens is a member of one of the five pension plans we serve. Services include providing plan information to members and employers, managing contributions and member records, paying pension benefits, and providing policy, financial and communication services to plan boards. We are a community of dedicated professionals who share common beliefs about client service and a desire to make our organization an even better place tomorrow than it is today. The Financial Services Branch provides a wide range of financial services to the corporation and pension plan boards. Services include treasury, accounts payable, general accounting and financial reporting. Financial Services are comprised of two departments Finance Operations and Plan Financial Reporting. The Finance Operations team processes all vendor invoices and staff expense claims, performs cash management for the organization and pension plans, and financial reconciliations. The Plan Financial Reporting team supports all the plan boards and committees by preparing a variety of financial reports and audited financial statements, as well as other financial analysis and insights.

Requirements

  • Clerk R10 classification

Responsibilities

  • Processing corporate disbursements
  • Ensuring disbursements are transacted in accordance with administration policies and procedures
  • Preparing and reconciling accounting entries and reports
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