Job Title or Location

Accounts Receivable & Banking Coordinator

Jacobs & Thompson Inc - 10 Jobs

Toronto, ON

Posted today

Job Details:

Full-time
Management

Department: Finance
Reports To: Controller
Location: Kenhar FacilityPosition SummarySupports accounts receivable and banking activities, including collections, payment application, customer account reconciliation, banking transactions, and maintaining accurate financial records across multiple systems and currencies. This is a developing-level role for someone with strong AR fundamentals who is willing to learn J&T's D365 and WYSE/legacy processes.Key ResponsibilitiesAccounts Receivable
  • Follow up on outstanding customer accounts and collection items.
  • Apply customer payments accurately and on time.
  • Resolve deductions, short payments, unapplied cash, and account discrepancies.
  • Maintain aging reports and provide collection status updates.
  • Work with Sales, Customer Service, and Operations on billing and payment issues.
  • Assist with customer account maintenance and month-end AR processes.
  • Maintain coverage with AR Insurance providers and monitor and report on delinquent accounts with internal management and insurance providers.
  • Liaise with subsidiary controllers and AR personnel on company-related AR and AR insurance matters.
Banking & Cash Management Support
  • Consolidate company-wide cash receipt and disbursement information for daily executive reporting.
  • Process or verify EFTs, wire transfers, cheque deposits, and customer receipts.
  • Perform daily cash application and related reconciliations.
  • Complete bank reconciliations and investigate outstanding items.
  • Monitor banking activity and escalate unusual transactions or discrepancies.
  • Process and reconcile CAD, USD, and other multi-currency transactions.
  • Maintain banking support and audit documentation.
Role Scope ClarificationImportant: This operational AR and banking support role does not own cash forecasting, FX management, liquidity planning, debt facilities, or banking relationships.QualificationsEducation & Experience
  • Diploma or degree in Accounting, Finance, Business Administration, or equivalent experience.
  • 3-5 years of AR, collections, banking administration, or accounting experience.
  • Manufacturing, distribution, or high-volume transaction experience preferred.
  • Multi-currency transaction experience is an asset.
  • Bank reconciliation and cash application experience preferred.
Technical Skills
  • Strong Microsoft Excel skills.
  • Experience working with ERP systems.
  • Microsoft Dynamics 365 experience preferred.
  • WYSE, AS400-style, or legacy manufacturing system experience is an asset.
  • Ability to work effectively within both modern ERP platforms and legacy business systems.
  • Online banking platform experience is an asset.
Core Competencies
  • Strong attention to detail
  • Organized and deadline-focused
  • Good communication and customer service skills
  • Problem-solving mindset
  • Comfortable with manual review and reconciliation
  • Able to work independently while collaborating across departments
First 12 Months Success Measures
  • Payments are applied accurately and on time.
  • Customer account issues are followed up consistently.
  • Bank reconciliations and cash application tasks are completed accurately.
  • The employee becomes comfortable working across D365 and WYSE/legacy systems.
  • AR aging and collection summaries are maintained clearly.
  • Banks are reconciled within the first 3 business days of each month end

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