About The Position

Choose a workplace that empowers your impact. Join a global workplace where employees thrive. One that embraces diversity of thought, expertise and experience. A place where you can personalize your employee journey to be — and deliver — your best. We are a purpose-driven, dynamic and sustainable pension plan. An industry leading global investor with teams in Toronto to London, New York, Singapore, Sydney and other major cities across North America and Europe. We embody the values of our 665,000 members, placing their best interests at the heart of everything we do. Join us to accelerate your growth & development, prioritize wellness, build connections, and support the communities where we live and work. Don’t just work anywhere — come build tomorrow together with us. We encourage continuous learning and you will be working with many skilled developers with a wealth of experience to guide you. Your work will be meaningful and help drive OMERS further into the future.

Requirements

  • Working towards a business degree in Accounting or Finance
  • Knowledge of Generally Accepted Accounting Principles (i.e. IFRS, Pension Accounting, etc)
  • Strong working knowledge of Microsoft Office tools, especially Excel
  • Excellent analytical, quantitative and problem-solving skills
  • Strong written and verbal communication skills
  • A strong team player able to operate in a fast-paced environment with numerous priorities and deadlines with effective organization time management skills

Nice To Haves

  • Investment Accounting experience, and knowledge of consolidation, intercompany, and foreign currency accounting principles, are an asset

Responsibilities

  • Assist with the full-cycle accounting process through the preparation of journal entries and account reconciliations
  • Assist with the preparation of performance calculations, schedules and reports requested by senior management, Investment Operations and Corporate Financial Reporting
  • Provide support on financial reporting and analytics for the assigned portfolio
  • Assist with transaction execution, ensuring accurate preparation of project funding requests in accordance with approved commitments, wire instructions, and other assigned tasks
  • Assist in accounting research and finance projects
  • Assist with the development and implementation of budgets and forecasts
  • Assist with the investment accounting system implementation project
  • Prepare year-end financial statements for tax and corporate filing purposes
  • Assist with tax filings when required
  • Participate in special projects or duties, as required

Benefits

  • Group benefits
  • Retirement plans
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