TBROS Group is a founder-led holding company operating three growing businesses with distinct focuses:
Kasu Capital – a U.S. real estate investment fund
Sozul – a luxury short-term rental property portfolio
RevWhisper – an AI-powered revenue optimization platform for short-term rental operators
While each business operates independently, they share one thing in common: a commitment to building scalable businesses through smart systems, thoughtful decision-making, and a hands-on approach.
We operate with a lean team where every person has meaningful ownership and the opportunity to make a measurable impact. If you enjoy solving problems, improving processes, and working closely with leadership in a collaborative environment, you'll find plenty of opportunities to grow here.
TBROS Group is looking for an experienced Senior Accountant to oversee accounting operations across Kasu Capital, Sozul, and RevWhisper. This is a hands-on role responsible for owning the full accounting cycle across multiple entities, from month-end close and financial reporting to treasury, banking, reconciliations, and accounts payable.
Reporting directly to the Co-Founders, you'll also provide guidance to administrative team members who support finance and operations while helping establish scalable financial processes as the businesses continue to grow.
Success in this role means delivering timely, accurate financial reporting, improving month-end close efficiency, maintaining strong financial controls, and creating repeatable processes that support better business decisions.
Own the full month-end close across multiple entities and deliver accurate, timely financial statements
Prepare management reporting packages including profit and loss statements, balance sheets, cash flow reporting, budget-to-actual analysis, and financial insights
Maintain charts of accounts, intercompany transactions, eliminations, and consistent accounting policies across the organization
Perform monthly balance sheet reconciliations and maintain organized supporting documentation
Manage banking activities across multiple entities, including CAD and USD accounts, cash positioning, and intercompany transfers
Reconcile bank accounts, credit cards, merchant accounts, Stripe transactions, and property management revenue
Monitor cash flow and identify upcoming funding needs
Oversee the complete accounts payable process, including vendor onboarding, invoice management, approvals, and payment processing
Administer Ramp expense management, company card programs, and expense coding
Maintain organized vendor records, contracts, and financial documentation
Manage and mentor administrative staff supporting finance and operations
Build and improve accounting processes, internal controls, and documentation that scale with company growth
Support fund accounting and investor reporting for Kasu Capital
Maintain property-level financial reporting for Sozul
Manage service revenue reporting and Stripe reconciliations for RevWhisper
Coordinate with external accountants, tax advisors, auditors, fund administrators, and cross-border finance partners in Canada and the U.S.
5+ years of progressive accounting experience with hands-on ownership of the full month-end close process
Experience managing accounting across multiple legal entities
Strong background in banking, treasury, reconciliations, and accounts payable
Hands-on experience using QuickBooks Online
Experience managing financial operations involving both Canadian and U.S. currencies
Previous experience supervising or mentoring finance or administrative staff
Comfortable using AI tools to improve reporting, automate repetitive tasks, and increase efficiency
Exceptional attention to detail with strong organizational skills and the ability to manage confidential financial information
CPA designation or active CPA candidate
Experience with Ramp, Stripe, Airtable, U.S. GAAP, GST/HST, sales tax, 1099 reporting, or cross-border tax coordination
Fund accounting or real estate investment accounting experience
Experience with investor reporting, capital accounts, distributions, or waterfalls
Short-term rental, hospitality, or property management accounting experience
Experience with service revenue recognition, client billing, and revenue reporting
Experience building accounting systems and processes within a growing entrepreneurial company
Compensation: $100,000-130,000$ CAD annually, based on experience
Benefits:
Comprehensive benefits package
Healthcare spending or reimbursement accounts
Hybrid work environment
Opportunity to work directly with company founders
Exposure to multiple growing businesses across real estate, hospitality, and technology
Schedule: Full-time
Location: Hamilton, Ontario, Canada
- Own the full month-end close across every entity and deliver accurate, on-time financials by business and consolidated at the TBROS level.
- Produce management reporting packages including P&L, balance sheet, cash flow, budget-to-actual, and actionable commentary for leadership.
- Maintain the chart of accounts, intercompany entries and eliminations, and consistent accounting policies across the group.
- Reconcile balance-sheet accounts monthly and maintain clean, supportable workpapers.
- Manage day-to-day banking across multiple entities and CAD/USD currencies, including cash positioning and intercompany transfers.
- Own bank, credit-card, merchant, Stripe, and channel/PMS reconciliations for RevWhisper and Sozul.
- Monitor liquidity and near-term cash flow, surfacing funding needs early.
- Own the AP cycle end to end: vendor onboarding, bill capture, approval routing, and payment runs.
- Administer Ramp spend management, card programs, expense policy, and coding discipline across entities.
- Keep vendor records, contracts, and recurring commitments organized, current, and audit-ready.
- Manage and develop administrative staff supporting finance and operations.
- Build close, payables, documentation, and internal-control processes that scale with the group.
- Support Kasu Capital fund accounting and investor reporting, including capital accounts, contributions, and distributions.
- Maintain Sozul property-level P&Ls, reconcile channel and PMS revenue, and track owner statements where applicable.
- Manage RevWhisper service revenue, reconcile Stripe, and support revenue and client reporting alongside the team.
- Coordinate with external accountants, tax advisors, fund administrators, auditors, and cross-border partners across the U.S. and Canada.
- 5+ years of progressive accounting experience, including hands-on ownership of full-cycle month-end close.
- Multi-entity accounting experience with comfort consolidating across businesses with different operating models.
- Strong process ownership across banking, treasury, reconciliations, and accounts payable.
- Hands-on experience with QuickBooks Online as the accounting system of record.
- Comfort managing day-to-day finance across CAD/USD activity and cross-border operations.
- Experience managing or mentoring junior finance or administrative staff.
- AI-native approach to automating reconciliations, building reporting, and reducing manual work.
- Exceptional accuracy, organization, discretion, and judgment with sensitive financial information.
- CPA designation or active CPA candidacy.
- Experience with Ramp, Stripe, Airtable, U.S. GAAP, sales tax / GST-HST, 1099s, and cross-border tax coordination.
- Fund or real-estate accounting experience, including investor reporting, capital accounts, distributions, or waterfalls.
- Short-term-rental or hospitality accounting experience.
- Service revenue recognition, client billing, Stripe, and revenue reporting experience.
- Experience standing up finance processes in a fast-scaling, founder-led environment.