Summer Intern, Finance

Haventree BankToronto, ON
Hybrid

About The Position

Haventree Bank is a private Canadian Schedule 1 bank specializing in alternative mortgage programs and insured GIC deposits. We help hardworking Canadians from coast-to-coast achieve homeownership by offering flexible mortgage solutions. Our insured GIC deposits offer competitive rates and are available through a variety of wealth management platforms. About Haventree Bank Headquartered in Toronto, Ontario, Haventree Bank (Haventree) is a mission driven alternative mortgage lender. The name Haventree is representative of the bank’s mission to help its customers find a place of refuge and to lay down new roots for the future. Haventree exists to be a catalyst of financial security and upward mobility for Canadians who are underserved by the traditional financial system. Position Summary: Reporting to the Manager, Finance Operations, the Summer Intern, Finance is responsible for providing operational and administrative support to the Finance Reporting & Accounting team during a period of increased workload related to the lending and brokered deposits implementation. The position is also responsible for assisting with routine finance tasks, documentation, and data support activities, enabling the team to maintain BAU delivery while focusing on testing and implementation priorities.

Requirements

  • Currently enrolled in a university Accounting program
  • Basic proficiency in Microsoft Office applications, including Excel, Word, and Outlook
  • Strong written and verbal communication skills
  • Exceptional organization and time management skills

Responsibilities

  • Assist with preparation and completion of bank reconciliations, including matching transactions, identifying variances, and preparing reconciliation support for review
  • Support Accounts Payable activities, including invoice tracking, coding support, vendor statement reviews, and payment documentation
  • Prepare journal entry templates and supporting schedules for routine and recurring entries, under supervision
  • Assist with posting journal entries to the accounting system following management approval
  • Support month‑end and period‑end close activities, including roll forwards and reconciliation schedules
  • Assist with ad hoc finance tasks and reporting requests as required
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