KG

KUTHALA GROUP

Verified Job Source

WE ARE A PRIVATE-HELD COMPANY WITH DIVISIONS IN VARIETY OF INDUSTRIES.

Mississauga, Ontario

Transportation, Logistics, Supply Chain and Storage
1–10 people

About

WE ARE A PRIVATE-HELD COMPANY WITH DIVISIONS IN VARIETY OF INDUSTRIES. Kuthala Transport - We are a single-source carrier, Kuthala offers a wide array of trucking services including expedited less than truckload and truckload, trans-border, intermodal, private fleet, guaranteed service, temperature-controlled and supply chain management. Kuthala Equipment Sales - We have large inventory of used equipment from our Transport & Leasing Division for sale across our terminals in North America as we upgrade our fleet to newer equipment. Kuthala Equipment Leasing - We offer short and long term equipment rentals across North America. We have multiple different types of equipment to help you in your daily business. Kuthala Storage - We have large warehousing space and multi locations offering over 100 acres of outdoor storage available through North America to store your goods. Kuthala Fleet Solutions - We offer multi fleet solutions such as fuel cards, 24/7 equipment repairs & towing through our large date base in North America. Kuthala Capital - We are a private lender offering daily cash flow to multi million dollar loans. We are offering working capital, capital equipment, business & real estate. Kuthala Parts - We have large inventory of heavy equipment parts available 24/7 at our Kuthala Parts stores. Kuthala Real Estate - We have a lot of ongoing investment opportunities. Come invest with us today !

Open positions

Accounting Specialist

On-site · Georgetown

The Accounting Specialist processes daily transactions, including journal entries, accounts payable, receivable, and bank reconciliations across multiple divisions. They are also responsible for preparing financial statements and assisting with month-end and year-end closing activities.

Accounting Associate

On-site · Georgetown

The Accounting Associate supports day-to-day operations across multiple divisions, including preparing journal entries and assisting with month-end close activities. They are responsible for maintaining accurate records, reconciling accounts, and supporting the preparation of financial statements.