- Location
- Calgary, AB, CA
- Type
- Full-time
- Department
- Finance
- Education
- Master
- Source
- Breezy HR
Description
Head of Finance
Department: Finance & Accounting
Reports To: Managing Principal
Position Details: Full-time; work from office
Location: Calgary, AB
Position Summary
The Head of Finance is a senior leadership role responsible for overseeing all financial operations of the organization, including accounting, financial planning and analysis, reporting, budgeting, treasury, and internal controls. This individual serves as a strategic partner to leadership, providing financial insight that guides business decisions while ensuring the accuracy, integrity, and compliance of the company's financial records and processes.
Key Responsibilities
Financial Strategy & Leadership
- Serve as a key advisor to the partners on financial strategy, business planning, and long-term financial health.
- Develop and implement financial policies, procedures, and internal controls.
- Lead annual budgeting and forecasting processes across the organization
- Provide financial modeling and scenario analysis to support strategic decision-making
- Collaborate closely with Operations to optimize project execution and predictability
Accounting Operations
- Oversee day-to-day accounting operations, including accounts payable, accounts receivable, payroll, and general ledger functions.
- In collaboration with the Principals, ensure all customer invoices capture appropriate charges and are prepared and sent accurately and on time; work with Principals and Project Leads to resolve overdue accounts and outstanding payment issues.
- Process or oversee payroll on a semi-monthly basis
- Ensure timely and accurate monthly, quarterly, and annual financial close processes, including preparation of month-end statements
- Implement and manage financial software and systems to streamline processes and improve accuracy and efficiency
- Maintain compliance with GAAP and applicable regulatory requirements
- Manage relationships with external auditors, tax advisors, and banking partners
Reporting & Analysis
- Prepare and present financial statements and performance reports to leadership and the partners.
- Develop KPIs and dashboards to track organizational financial performance
- Complete analytical reviews of monthly operating results with the accounting team and Principals
- Analyze variances between actual results and budget/forecast, identifying risks and opportunities, and recommend corrective actions as needed
Cash Flow & Treasury Management
- Oversee cash flow management, working capital, and liquidity planning
- Monitor daily banking and Visa limits, and make payments to maintain cash levels that sustain business operations
- Manage banking relationships, credit facilities, and debt obligations
- Support capital planning and investment decisions
Team Leadership
- Build, mentor, and manage the finance and accounting team
- Establish clear performance goals and professional development plans for direct reports
- Foster a culture of accuracy, accountability, and continuous improvement
Risk & Compliance
- Identify and mitigate financial risks across the organization, assessing potential impact and developing strategies to manage them
- Serve as primary contact with CRA, managing messages and notifications
- Process monthly remittances including GST, corporate tax, and WCB
- Ensure compliance with tax filings, regulatory reporting, and audit requirements
- Ensure transactional functions are appropriately allocated to maintain segregation of duties and effective internal controls that safeguard the custody of assets and records
Year-End
- Prepare year-end statements and work with the external accountant on year-end
- Prepare all statements and financials for the shareholders' individual corporations for external accountants at year-end
Qualifications
Required
- Bachelor's degree in Accounting, Finance, or related field
- 8+ years of progressive experience in accounting/finance, including 3+ years in a leadership role
- Strong knowledge of GAAP, financial reporting, and internal controls
- Proficiency with accounting/ERP systems and advanced Excel skills
- Excellent analytical, communication, and leadership abilities
Preferred
- CPA, CMA, or MBA
- Experience working in professional services sectors
- Experience with financial systems implementation or process improvement initiatives
- Prior experience presenting to a board of directors or ownership group
Core Competencies
- Strategic and analytical thinking
- Integrity and sound judgment
- Strong leadership and team development skills
- Attention to detail balanced with big-picture perspective
- Effective communication with both financial and non-financial stakeholders