Bookkeeper

Complete Solution Payments Inc.Montreal, QC
Hybrid

About The Position

Intercash is a leading global provider of payments and financial services specializing in card issuing and card program management technology and services. Intercash’s technology and service suites span across North America, South America, Europe and Asia Pacific. With a growing portfolio of global businesses partnering with Intercash to support their mass global payment needs, and alongside the team of young and experienced professionals who have led the way to the company’s rapid growth for the last decade, we are building the future of Fintech! At the heart of our operation and service offering is our technology platform. We develop all of our core technology in-house and are continuously investing in the development of innovative financial technology to remain a leading provider. We are looking to add a Bookkeeper to our team. Intercash allows for an extremely exciting and rewarding work environment with room to grow your career, as well as the opportunity to be a part of an extremely dynamic and fast-growing Fintech industry.

Requirements

  • 2-4 years’ of relevant work experience, ideally working in an international organization or qualified experience with accounting, minimum 2 years.
  • Use of multi-currency within Quickbooks is essential
  • Experience working with QuickBooks
  • Familiar with Microsoft suite, including intermediate proficiency with Microsoft Excel
  • Strong oral and written English skills, French is an asset
  • Good time management is vital
  • English is required to interact with our international colleagues, our international financial partners such as banks and 3rd party transaction providers, clients located around the world, and external audit and financial compliance.

Nice To Haves

  • French is an asset

Responsibilities

  • Inputting multi-currency invoices on QuickBooks for multiple entities within the group
  • Maintaining creditors controls
  • Forward report monthly to the Treasury for review and payment
  • Maintain debtors controls
  • Submit report to the Sales Ledger clerk to ensure follow up with debtors and receiving relevant updates
  • Importing receipts and payments into each of the multi-currency bank account
  • Matching payments/receipts to invoices
  • Complete weekly and monthly bank reconciliations
  • Manual journal transfers of FX from one currency to another
  • Inputting expenses
  • Employee expense control
  • Monthly/quarterly deadlines
  • Any other tasks as requested

Benefits

  • Health and Dental Insurance package
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