Controller

Fiera Capital Corp.

$130K — $150K *
Finance & Insurance
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • University/College Degree/Diploma required
  • CPA designation mandatory
  • Minimum of 8 years' relevant work experience
  • Experience in IFRS reporting is essential
  • Familiarity with Private Funds and fair value accounting necessary
  • Proficient in Fund accounting and financial statement preparation
  • Strong analytical and problem-solving abilities required

Responsibilities

  • Own monthly, quarterly, and annual financial close processes
  • Review and approve journal entries and reconciliations
  • Serve as primary contact for external auditors
  • Oversee Canadian and U.S. tax compliance
  • Manage treasury, cash management, and forecasting
  • Drive process improvements in finance workflows
  • Lead and mentor accounting staff

Benefits

  • Hybrid working environment with 4 days in-office
  • Potential for performance-based bonuses
  • Comprehensive employee benefits package
Full Job Description
What we are looking for:

Reporting to Fiera Infrastructure's CFO, the Controller is responsible for financial reporting, regulatory and tax compliance, audit management, internal controls, treasury, systems, and team leadership. The role acts as the primary control owner and senior finance counterpart to internal stakeholders, senior management, auditors, and external service providers.

This position has evolved well beyond a traditional senior accountant role and includes ownership of complex cross-border structures, investor reporting, regulatory filings, and operational oversight across multiple corporate entities, portfolio companies, investment Holdcos and service providers.

Your responsibilities:

This person will assist in the day-to-day accounting including but not limited to:

Financial Reporting & Close
  • Own monthly, quarterly, and annual close processes for corporate entities, portfolio companies, investment Holdcos.
  • Review and approve journal entries, reconciliations, accruals, NAV support schedules.
  • Prepare and review IFRS-compliant financial statements, including full note disclosures, valuation support, and consolidation where applicable.


Audit & External Advisor Management
  • Serve as the primary point of contact for external auditors across multiple audits.
  • Coordinate audit planning, PBC requests, issue resolution, management representation letters, and audit wrap-up.
  • Manage relationships with external advisors including auditors, tax advisors, legal counsel, fund administrators, and transfer agents.


Tax & Regulatory Compliance
  • Oversee Canadian corporate and partnership tax compliance, including T5013s, HST/GST, and related CRA correspondence.
  • Coordinate U.S. tax filings (e.g., K-1s, FIRPTA analysis) and other international tax filings as needed.
  • Manage FATCA/CRS classifications, PFIC-related investor inquiries, and ongoing tax structuring considerations.
  • Ensure timely completion of regulatory and investor-driven filings, including Form ADV and other jurisdiction-specific requirements.


Treasury, Cash & Controls
  • Oversee cash management, forecasting, and liquidity planning.
  • Review and approve payments, capital calls, distributions, management fees, and expense allocations.
  • Act as control owner for key financial and operational controls, ensuring appropriate segregation of duties and documentation.
  • Support internal control design, testing, remediation, and documentation in coordination with auditors and administrators.


Systems, Process Improvement & Projects
  • Own finance systems and reporting tools, including SAP and administrator platforms.
  • Drive process improvements across close, reporting, audit, and compliance workflows.
  • Support implementation of new structures, funds, SMAs, and reporting requirements.
  • Lead ad hoc financial analysis and strategic initiatives requested by senior management.


Team Leadership & Stakeholder Management
  • Manage and mentor senior accountants and accounting staff, including onboarding, training, and work allocation.
  • Review work prepared by team members and external providers to ensure accuracy, completeness, and audit readiness.
  • Act as a trusted finance partner to senior management, investment teams, and operations.
  • Coordinate across finance, legal, tax, and operations to ensure timely and accurate delivery of finance outputs.


Must have requirements to be successful in this role:
  • University/College Degree/Diploma
  • CPA designation
  • A minimum of 8 years' relevant work experience
  • Exposure to IFRS reporting is required
  • Exposure to Private Funds and fair value accounting
  • Experience with Fund accounting
  • Experience with financial statement preparation, maintaining accounting records and general ledger is essential
  • Knowledge of Microsoft Word and Excel
  • Knowledge of QuickBooks and SAP is an asset
  • Strong analytical, organizational, and problem-solving abilities.
  • Excellent attention to detail and ability to meet tight deadlines in a fast-paced environment.
  • Qualified candidates must have excellent communication skills, initiative, team building and interpersonal skills, and strong problem-solving skills.


Additional Information:
  • Fiera Capital adheres to a hybrid working environment with 4 days in-office per week.
  • The salary range for this position is $130,000 - $150,000. This role is also be eligible for additional compensation, including bonuses and employee benefits. This salary range is for Ontario.
  • Position opening reason : Replacement.


#LI-Hybrid

For all positions in Quebec (Montreal and Laval), proficiency in French, both spoken and written, is mandatory. Working English proficiency is also required in order to serve our offices and clients around the world.

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