you will: enter hours for CUPE payroll, verify time entry reports, and enter travel expenses and reimbursements for employees; process vendor invoices and credit memos; enter journal vouchers, inventory issues and reconcile reports; en[...]
Reporting to the Director, CMAC, the Bank Reconciliation Supervisor manages the overall operations of the Bank Reconciliation team including providing accurate and timely accounting, reporting and support for all financial transactions[...]