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Director of Accounting & Financial Reporting

Job in Toronto, Ontario, M5A, Canada
Listing for: Robert Half
Full Time position
Listed on 2026-02-20
Job specializations:
  • Finance & Banking
    Financial Manager, Financial Reporting, Corporate Finance, Financial Analyst
Job Description & How to Apply Below

The Director, Accounting & Financial Reporting is the Company’s senior internal authority on accounting, financial reporting, controls, and public-company disclosure. Reporting to the Chief Financial Officer, this role serves as a strategic thought partner in a public, junior mining environment with outsourced transactional execution. While transactional processing is outsourced, accountability is retained internally. This role owns accounting conclusions, financial reporting quality, internal controls, treasury governance, and regulatory compliance, ensuring financial information and disclosures accurately reflect operational reality, strategic priorities, and risk tolerance.

The Director also leads financial planning and analysis, including budgeting, forecasting, scenario analysis, and cash-runway modeling, to support capital allocation, project pacing, and liquidity management. The role is a primary interface with auditors, legal counsel, regulators, and the Board.

Key Responsibilities:

Financial Reporting, Controls & Governance

  • Own the Company’s internal control framework, approval authorities, and accounting policies
  • Review and approve monthly financial statements, accounting judgments, reconciliations, and journal entries prepared by the outsourced provider
  • Oversee equity-based compensation records and related accounting
  • Perform analytical reviews and investigate variances and control exceptions
  • Public Company & Regulatory Reporting

  • Lead end-to-end preparation of public filings, including the Annual Information Form (AIF) and proxy circular
  • Coordinate with auditors, legal counsel, transfer agent, and investor relations to ensure accurate, timely, and consistent disclosures
  • Act as the internal authority on IFRS interpretation, critical accounting estimates, and disclosure judgments
  • Treasury Oversight & Liquidity Management

  • Oversee payment, payroll, and treasury processes executed by outsourced providers
  • Review payment runs for business validity, budget alignment, and authorization compliance
  • Own cash forecasting, liquidity management, and weekly cash reporting
  • Maintain accountability for bank access, treasury controls, and fraud-prevention protocols
  • FP& A & Business Partnering

  • Lead annual budgeting and rolling forecast processes
  • Track project-based spend (exploration, studies, permitting, capex) against approved budgets
  • Prepare variance analysis, scenario modeling, and cash-runway analyses for management and the Board
  • Act as finance partner to technical, ESG, HR, and operations teams
  • Audit, Board & External Relationships

  • Serve as primary coordinator for annual audits and technical accounting matters
  • Support capital markets activity, financing transactions, and investor reporting as required
  • Own the relationship with outsourced accounting and treasury providers, defining expectations and holding them accountable to Company standards
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