We are officially hunting for our next AP Associate, Vendor Reconciliation in Vaughan -someone ready to bring fresh ideas and grow alongside a dynamic team. About Us GFL is one of the largest ...
We are officially hunting for our next AP Associate, Vendor Reconciliation in Vaughan -someone ready to bring fresh ideas and grow alongside a dynamic team. About Us GFL is one of the largest ...
Senior Associate, Product Control-Reconciliation
Toronto, ON · On-site
CA$38K - CA$71K/yr
Customer Shared Services The Card Reconciliation, Product Control Grouprole supports the Cards products for P&C businesses, and is the first line of defense of control for the credit card product.
Senior Associate, Product Control-Reconciliation
Toronto, ON · On-site
CA$38K - CA$71K/yr
Customer Shared Services The Card Reconciliation, Product Control Grouprole supports the Cards products for P&C businesses, and is the first line of defense of control for the credit card product.
Senior Associate, Product Control-Reconciliation
Toronto, ON · On-site
CA$38K - CA$71K/yr
Customer Shared Services The Card Reconciliation, Product Control Grouprole supports the Cards products for P&C businesses, and is the first line of defense of control for the credit card product.
Senior Associate, Product Control-Reconciliation
Toronto, ON · On-site
CA$38K - CA$71K/yr
Customer Shared Services The Card Reconciliation, Product Control Grouprole supports the Cards products for P&C businesses, and is the first line of defense of control for the credit card product.
Service Associate
Toronto, ON · On-site
As a Service Associate, Operations, you will play a crucial role in ensuring the accuracy and ... Perform daily reconciliation activities to validate cash, asset, and book cost positions and ...
Service Associate
Toronto, ON · On-site
As a Service Associate, Operations, you will play a crucial role in ensuring the accuracy and ... Perform daily reconciliation activities to validate cash, asset, and book cost positions and ...
The Finance Technology Platform Associate supports the delivery, operation and continuous ... Support investigation of production issues, reconciliation breaks, reporting differences and ...
The Finance Technology Platform Associate supports the delivery, operation and continuous ... Support investigation of production issues, reconciliation breaks, reporting differences and ...
The AP Associate will be responsible for analyzing invoices, PO's, assign payments, work with ... Reconcile * o Review AP aging report * o Research and resolve all inquiries and disputes * o ...
Quick apply
The AP Associate will be responsible for analyzing invoices, PO's, assign payments, work with ... Reconcile * o Review AP aging report * o Research and resolve all inquiries and disputes * o ...
Inventory Associate (Morning Shift)
$19.81 - $29.71/hr
As an Inventory Associate, you will be responsible for performing cycle counts, creating approvals ... Reconcile inventory records, including identifying and rectifying discrepancies between physical ...
Inventory Associate (Morning Shift)
$19.81 - $29.71/hr
As an Inventory Associate, you will be responsible for performing cycle counts, creating approvals ... Reconcile inventory records, including identifying and rectifying discrepancies between physical ...
Inventory Associate (Afternoon Shift)
Guelph, ON · On-site
$19.81 - $29.71/hr
As an Inventory Associate, you will be responsible for performing cycle counts, creating approvals ... Reconcile inventory records, including identifying and rectifying discrepancies between physical ...
Inventory Associate (Afternoon Shift)
Guelph, ON · On-site
$19.81 - $29.71/hr
As an Inventory Associate, you will be responsible for performing cycle counts, creating approvals ... Reconcile inventory records, including identifying and rectifying discrepancies between physical ...
Inventory Associate (Weekend Shift)
Guelph, ON · On-site
CA$19.81 - CA$29.71/hr
As an Inventory Associate, you will be responsible for performing cycle counts, creating approvals ... Reconcile inventory records, including identifying and rectifying discrepancies between physical ...
Inventory Associate (Weekend Shift)
Guelph, ON · On-site
CA$19.81 - CA$29.71/hr
As an Inventory Associate, you will be responsible for performing cycle counts, creating approvals ... Reconcile inventory records, including identifying and rectifying discrepancies between physical ...
Inventory Associate (Afternoon 12PM Shift)
Guelph, ON · On-site
$19.81 - $29.71/hr
As an Inventory Associate, you will be responsible for performing cycle counts, creating approvals ... Reconcile inventory records, including identifying and rectifying discrepancies between physical ...
Inventory Associate (Afternoon 12PM Shift)
Guelph, ON · On-site
$19.81 - $29.71/hr
As an Inventory Associate, you will be responsible for performing cycle counts, creating approvals ... Reconcile inventory records, including identifying and rectifying discrepancies between physical ...
Inventory Associate (Day 8AM Shift)
Guelph, ON · On-site
$19.81 - $29.71/hr
As an Inventory Associate, you will be responsible for performing cycle counts, creating approvals ... Reconcile inventory records, including identifying and rectifying discrepancies between physical ...
Inventory Associate (Day 8AM Shift)
Guelph, ON · On-site
$19.81 - $29.71/hr
As an Inventory Associate, you will be responsible for performing cycle counts, creating approvals ... Reconcile inventory records, including identifying and rectifying discrepancies between physical ...
We are hiring a Banking Operations Associate to join the operations team of a large Canadian ... Complete audit, reconciliation, documentation, reporting, and administrative activities. * Respond ...
Quick apply
We are hiring a Banking Operations Associate to join the operations team of a large Canadian ... Complete audit, reconciliation, documentation, reporting, and administrative activities. * Respond ...
Join our team TELUS Health is looking for an Administrative Associate to join an amazing multi ... Process payments by cash/debit/credit; reconcile daily transactions and prepare cash summary report
Join our team TELUS Health is looking for an Administrative Associate to join an amazing multi ... Process payments by cash/debit/credit; reconcile daily transactions and prepare cash summary report
Associate, Corporate Actions
Toronto, ON · Hybrid
CA$56K - CA$103K/yr
Customer Shared Services Corporate Actions Associate Location: Toronto, Ontario Mandate The ... Daily monitoring and clearance of cash/stock reconciliations * Working with the team manager to ...
Associate, Corporate Actions
Toronto, ON · Hybrid
CA$56K - CA$103K/yr
Customer Shared Services Corporate Actions Associate Location: Toronto, Ontario Mandate The ... Daily monitoring and clearance of cash/stock reconciliations * Working with the team manager to ...
Associate, Corporate Actions
Toronto, ON · Hybrid
CA$56K - CA$103K/yr
Customer Shared Services Corporate Actions Associate Location: Toronto, Ontario Mandate The ... Daily monitoring and clearance of cash/stock reconciliations * Working with the team manager to ...
Associate, Corporate Actions
Toronto, ON · Hybrid
CA$56K - CA$103K/yr
Customer Shared Services Corporate Actions Associate Location: Toronto, Ontario Mandate The ... Daily monitoring and clearance of cash/stock reconciliations * Working with the team manager to ...
Senior Associate, Credit Fund Operations
Toronto, ON · On-site
CA$85K - CA$100K/yr
Onex is seeking a talented Senior Associate, Fund Operations, Credit to join our Toronto team. In ... NAV Reporting & Books & Reconciliation: Prepare schedules and supporting materials to reconcile ...
Senior Associate, Credit Fund Operations
Toronto, ON · On-site
CA$85K - CA$100K/yr
Onex is seeking a talented Senior Associate, Fund Operations, Credit to join our Toronto team. In ... NAV Reporting & Books & Reconciliation: Prepare schedules and supporting materials to reconcile ...
AP Associate REPORTS TO: Manager - Accounting APPROVED BY: SUMMARY To ensure timely and accurate ... Perform reconciliation of supplier statements. * Prepare accrual listing for Business Units.
AP Associate REPORTS TO: Manager - Accounting APPROVED BY: SUMMARY To ensure timely and accurate ... Perform reconciliation of supplier statements. * Prepare accrual listing for Business Units.
Finance Associate
CA$47K - CA$55K/yr
Support preparation of bank reconciliations and balance sheet reconciliations. * Support Collection Specialists in maintaining customer call note files. * Assistance with the auditing of Concur ...
Finance Associate
CA$47K - CA$55K/yr
Support preparation of bank reconciliations and balance sheet reconciliations. * Support Collection Specialists in maintaining customer call note files. * Assistance with the auditing of Concur ...
Sales Associate- Temporary
CA$17.75/hr
Advertised Compensation: $17.75 This Sales Associate Job Is For You, If You Enjoy: * Helping others ... Assists in inventory and reconciliation of inventory variances * Perform related work as assigned ...
Sales Associate- Temporary
CA$17.75/hr
Advertised Compensation: $17.75 This Sales Associate Job Is For You, If You Enjoy: * Helping others ... Assists in inventory and reconciliation of inventory variances * Perform related work as assigned ...
Finance Associate
Mississauga, ON · On-site
CA$47K - CA$55K/yr
Support preparation of bank reconciliations and balance sheet reconciliations. * Support Collection Specialists in maintaining customer call note files. * Assistance with the auditing of Concur ...
Quick apply
Finance Associate
Mississauga, ON · On-site
CA$47K - CA$55K/yr
Support preparation of bank reconciliations and balance sheet reconciliations. * Support Collection Specialists in maintaining customer call note files. * Assistance with the auditing of Concur ...
Reconciliation Associate information
What is a reconciliation associate?
What are the key skills and qualifications needed to thrive as a reconciliation associate?
What are some common challenges reconciliation associates face in managing high-volume transactions, and how can they be addressed?
What is the difference between Reconciliation Associate vs Accounts Payable Clerk?
| Reconciliation Associate | Accounts Payable Clerk |
|---|---|
| Focuses on reconciling accounts, verifying transactions, and ensuring accuracy of financial data | Handles invoice processing, payment scheduling, and managing outgoing payments |
| Requires knowledge of accounting principles, spreadsheets, and financial software | Requires understanding of invoicing, vendor management, and payment systems |
| Typically works in finance or accounting departments within various industries | Works mainly in accounts payable or finance teams, often in corporate or retail sectors |
While both roles are part of the finance department, a Reconciliation Associate primarily verifies and balances accounts, whereas an Accounts Payable Clerk manages outgoing payments and vendor invoices. Both positions require strong attention to detail and familiarity with financial software, but their core responsibilities differ in focus and daily tasks.
What are the most commonly searched types of Reconciliation jobs in Toronto, ON?
The most popular types of Reconciliation jobs in Toronto, ON are:
What are popular job titles related to Reconciliation Associate jobs in Toronto, ON?
For Reconciliation Associate jobs in Toronto, ON, the most frequently searched job titles are:
What job categories do people searching Reconciliation Associate jobs in Toronto, ON look for?
The top searched job categories for Reconciliation Associate jobs in Toronto, ON are:

Full-time
Medical, Dental, Vision, Life, PTO
Re-posted 6 days ago
GFL Environmental rating
6.7
Based on 175 frontline employees who took The Breakroom Quiz
48th of 91 rated recycling and waste
Job description
Ready to elevate your career? GFL is expanding! We are officially hunting for our next AP Associate, Vendor Reconciliation in Vaughan -someone ready to bring fresh ideas and grow alongside a dynamic team.
About Us
GFL is one of the largest diversified environmental services companies in North America, providing comprehensive solid waste management services from its platform of facilities throughout Canada and 18 U.S. states. Recognized by our signature fleet of bright green trucks and equipment, we offer a wide range of environmental and industrial services to businesses, communities and households, providing a consolidated and sophisticated approach to meeting our customers' needs. One of the keys to our success lies in the diversity of our services and our ability to deliver robust integrated solutions, all from a single efficient company. We believe that, by providing safe, accessible and cost-effective solutions, we encourage greater environmental responsibility and allow our customers and the communities we serve to be Green For Life.
The Role
The Accounts Payable (AP) Associate for Vendor Reconciliations is responsible for the accurate reconciliation of vendor statements, the resolution of financial discrepancies, and ensuring that reports provided to vendors are both timely and precise. This role is vital for maintaining vendor relationships and contributing to the overall financial integrity of the organization. The associate serves as a primary point of contact for key suppliers regarding account matters and the investigation of outstanding issues. The role reports to the Accounts Payable Supervisor, Vendor Reconciliations.
Key Responsibilities
Reconciliation: Perform monthly reconciliations of key supplier statements against Workday records to resolve open items.
Discrepancy Resolution: Investigate and resolve payment variances, missing invoices, and credit/debit memos timely.
Collaboration: Partner with vendors, Procurement, Shared Services, and Payment teams to streamline invoice processing.
Reporting & Closing: Maintain reconciliation reports and assist with month-, quarter-, and year-end closing activities.
Process Improvement: Identify and implement enhancements to increase efficiency and accuracy.
Ad-Hoc Tasks: Complete ad-hoc statement reconciliations and administrative projects as required.
What We're Looking For
Experience: 2-3 years of experience in accounts payable, vendor reconciliation, or a similar finance role.
Education: Post-secondary degree in Finance, Accounting, or a related field preferred (equivalent experience considered).
Technical Skills: Intermediate Excel (pivot tables, VLOOKUPs) and familiarity with Google Workspace/MS Office. Workday experience is a strong asset. English proficiency is required; bilingualism (English/French) is an asset.
Soft Skills: Detail-oriented with strong analytical, problem-solving, and communication skills. Ability to take feedback, manage multiple priorities, and meet tight deadlines in a fast-paced team environment.
What We Offer
Why join us? We believe in taking care of our team. Here is a snapshot of our total rewards you can expect:
Health: Comprehensive medical, dental, and vision insurance.
Wellness: Employee Assistance Program, life insurance, and paid time-off.
Financial: RRSP matching, profit sharing and competitive wages.
Culture: Growth opportunities and continuous learning opportunities.
We thank you for your interest. Only those selected for an interview will be contacted.
GFL is committed to equal opportunity for all, without regard to race, religion, color, national origin, citizenship, sex, sexual orientation, gender identity, age, veteran status, disability, genetic information, or any other protected characteristic. If you are interested in applying for employment and need special assistance or an accommodation to apply for a posted position, please contactmyworkdayrecruitment@gflenv.com
Please note that GFL does not provide visa sponsorshipfor this position. Valid work authorization in the country where the job is located is required.Successful candidates will be required to provide valid documentation confirming their eligibility to work in the country where the job is located prior to their start date.
This hiring process may utilize machine-based systems to assist in screening and assessing applicants. Final selection decisions are made by our recruitment team.
What GFL Environmental employees say
Pay
Benefits
Hours and flexibility
Workplace
Get the full story on Breakroom
About GFL Environmental
Sourced by ZipRecruiter
Industry
Environmental quality programs administration and environmental consulting services
Company size
10,000+ Employees
Headquarters location
Vaughan, ON, CA