Management Accountant

Hilton Food Group PlcBrantford, ON
CA$85,000 - CA$110,000Onsite

About The Position

Work in an amazing new factory, with the world’s biggest retailer and in an international business in a highly customer focused environment with regular contact with the customer’s finance and commercial teams. This role will focus first and foremost on Bill of Materials and the ERP systems used in our financial process. In addition, it will provide financial analysis (Power BI), assist in budgeting and prepare financial reports to aid the business in its decision making to achieve short and long-term goals and improve company performance.

Requirements

  • Must have 3-5 years of Bill of Material experience.
  • Must have SAP4/Hana experience.
  • Must have working knowledge, experience preferable, of Power BI
  • Thorough understanding of basic production process both from a production perspective and from an ERP perspective.
  • Excellent Excel skills

Nice To Haves

  • Cost-plus environments desirable but not essential

Responsibilities

  • Understand, monitor and influence decision making on site operational performance. This includes reporting on all aspects of standard costing including yield, labour, bill of material performance and overhead performance with the site management team. Actively suggesting improvement ideas and ensuring all information is current and up to date.
  • Assist in the preparation of monthly, quarterly, and annual management accounts, including profit and loss statements, balance sheets, and cash flow.
  • Maintain and update the product costing information for all products including New Product Development (NPD) and existing product development (EPD)
  • Monitor income and expenditure, analyse departmental costs, and identify opportunities to reduce business costs
  • Oversee financial systems (SAP, Evolve4), reconcile accounts, and support operational teams with financial queries.
  • Analyse & report weekly financial and operational performance to drive decision making.
  • Present financial information to non-finance staff and liaise between departments to ensure accurate reporting
  • Participate in special projects, process improvements, and strategic initiatives
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