Ledger jobs in alberta province Canada
58 ledger jobs found in alberta province: showing 51 - 58
Grants Accountant
Company: The Mustard Seed |
on outstanding payments. Reconcile grant accounts and general ledger activity; research and resolve discrepancies. Track and manageLocation: Calgary, AB, Canada
| Salary: unspecified | Date posted: 17 Apr 2026
Property Services Coordinator
Company: BGIS |
summaries of expenses with supporting details and resolves errors or inconsistencies in expenses from the general ledgerLocation: Edmonton, AB, Canada
| Salary: unspecified | Date posted: 13 Apr 2026
Application Administrator
Company: Stantec |
requests for configurations such as tax rates, fixed asset categories, currency rates, HRMS jobs/grades, general ledger chartLocation: Calgary, AB, Canada
| Salary: unspecified | Date posted: 10 Apr 2026
Application Administrator
Company: Stantec |
requests for configurations such as tax rates, fixed asset categories, currency rates, HRMS jobs/grades, general ledger chartLocation: Edmonton, AB, Canada
| Salary: unspecified | Date posted: 10 Apr 2026
Accountant – Operational Finance
Company: Clark Builders |
along with approved billing rates for staff and/or trade labor. Regularly audit client billing and project ledger, ensureLocation: Edmonton, AB, Canada
| Salary: unspecified | Date posted: 10 Apr 2026
Senior Accountant - Operational Finance
Company: Clark Builders |
management systems. Regularly audit client billing and project ledger, ensure contract requirements, GAAP and company policiesLocation: Edmonton, AB, Canada
| Salary: unspecified | Date posted: 09 Apr 2026
Financial Analyst
Company: Rural Municipalities of Alberta |
project sub-ledger is reconciled to the general ledger. Prepare and review the capital components of the financial statementsLocation: Wetaskiwin, AB, Canada
| Salary: unspecified | Date posted: 31 Mar 2026
Accounts Payable/receivable Administrator
Company: Dilawri Group of Companies |
are proper approvals/PO's as necessary and coding of the expense hits the correct General Ledger Accounts Reconcile and balance