About this role
Who we are We’re not your typical non-profit. We bring swagger to everything we do. That means we move with purpose in every step, driven by our commitment to putting our community at the centre of our work. Every day, we ask ourselves to see possibilities where others see limits. Because people with Parkinson’s and care partners deserve better. Better care, more inclusive research and access to treatment and support that make living well possible. Our mission is to empower and inspire people living with Parkinson’s and their care partners to live fully and courageously. Through community support, advocacy, and research, we encourage others to see a diagnosis not as a dimming of light, but a spark for a new beginning. Move forward. Together. On Mission. Who we need Reporting to the Director of Finance, we are hiring a Finance & Operations Specialist. You will support the Finance, Operations, and IT team by owning the administrative functions that keep the team running and by taking end-to-end responsibility for the key administrative tools and systems the team relies on. This role combines day-to-day financial support—transaction review, reconciliations, and reporting—with office administration, operational and IT coordination, and ownership of intake, workflow, and expense-management platforms.  This is a hybrid role that is primarily remote, with a few days each month spent working from Parkinson Canada's office (4211 Yonge Street, Suite 316, Toronto, M2P 2A9). Key Responsibilities: Financial Operations & Systems Support  Serve as the primary owner and administrator of the team’s core administrative tools, including Monday.com (Admin/Operations workspace), Float, and TravelPerk, ensuring they are configured, maintained, and used consistently.  Oversee day-to-day operation of the Monday.com Admin/Operations workspace—managing intake requests, maintaining request queues, and ensuring timely, accurate routing, tracking, and follow-up across teams.  Develop, configure, and maintain request forms and workflows, standardizing intake processes and supporting new or evolving request types.  Identify opportunities to automate, streamline, and improve administrative processes across the tools the team relies on.  Monitor daily transactions within Float, TravelPerk, Monday.com, and related systems, and escalate discrepancies or exceptions in a timely manner  Prepare monthly reconciliations and coordinate with internal stakeholders to obtain supporting documentation and resolve outstanding items  Complete balance sheet reconciliations and investigate variances related to employee expenses, travel, and other operational transactions  Reconcile tenant billings, including rent, room rentals, photocopies, postage, and other recoverable costs, and follow up on outstanding items as required  Maintain accurate supporting records and ensure finance documentation is complete, organized, and shared with the appropriate team members  Support month-end close activities by preparing journal entry support, reconciliations, and related schedules as assigned  Administrative Support Coordinate incoming and outgoing mail, including opening, scanning, routing, and preparing mail for pickup on designated office days  Serve as a point of contact for tenants, maintain booking and office calendars, and support office space coordination requirements  Liaise with consultants, building contacts, and tradespeople requiring access to the office and coordinate logistics as needed  Assist with general office administration, document filing, and maintenance of shared records and administrative supplies  Operational Support Coordinate the shi