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Volunteer Bookkeeper

Volunteer Bookkeeper

Landseed
locationOttawa, ON, Canada
remoteFully Remote
PublishedPublished: 2026-01-21
ExpiresExpires: 2026-03-22
Accounting / Finance
Unpaid Volunteer Position

About LandSeed & the Tay Ridge Project

LandSeed is a mission‑driven non‑profit focused on community‑centered, sustainable development. Tay Ridge is a LandSeed‑supported community development where land is acquired and developed into a modular/tiny home community. Residents purchase homes and monthly lot fees. The project spans land acquisition, site servicing and infrastructure, modular home manufacturing and delivery, construction management, and a transition to long‑term property operations and resident services.

We are seeking a skilled and dependable volunteer bookkeeper with experience in nonprofit accounting, Ontario HST, and real‑estate development/construction accounting to build and operate bookkeeping systems across both the nonprofit umbrella and the project lifecycle.

Position Summary

The Volunteer Bookkeeper will design, implement, and maintain a complete bookkeeping system for LandSeed and the Tay Ridge project from the ground up. This includes:

  • Nonprofit accounting (funds, programs, donors, grants, reporting, HST/PSB rebates as applicable).
  • Project lifecycle accounting for Tay Ridge:
    1. Pre‑development & acquisition
    2. Development, construction & manufacturing
    3. Home sales & delivery
    4. Transition to monthly operations (lot‑rent revenue, reserves, and property operations)

The ideal candidate brings strong Canadian bookkeeping knowledge (including Ontario HST rules, remittances, rebates/ITCs, and tracking), and can translate technical concepts into clear, simple language for non‑finance team members.

Key Responsibilities

1) Bookkeeping System Setup & Design (Nonprofit + Project)

  • Build a complete bookkeeping framework for LandSeed (chart of accounts, classes, projects/programs, funds, donor/grant tracking).
  • Establish a Tay Ridge–specific accounting structure aligned with the project lifecycle and phases.
  • Define cost categories for:
    • Land purchase & due diligence
    • Planning, engineering, and approvals
    • Site servicing & infrastructure (roads, utilities, septic)
    • Modular home manufacturing & delivery
    • Construction management
    • Homeowner transactions (deposits, milestones, receivables)
    • Operations setup (insurance, utilities, staffing, maintenance)
  • Design a Chart of Accounts capable of tracking:
    • Capital project WIP and capitalization vs. expense
    • Home sales and related COGS/allocations
    • Lot revenue and recurring resident billing
    • Reserves (capital & maintenance)
    • Project‑ and phase‑based segmentation for reporting
  • Recommend structures/configurations with clear rationale (why and how each element supports compliance, audit readiness, and decision‑making).
  • Configure accounting software (QBO preferred, flexible to alternatives).

2) HST, Compliance & Multi‑Stakeholder Coordination

  • Set up and manage Ontario HST across mixed activities: nonprofit operations, construction, manufacturing, development, and home sales.
  • Administer HST processes: collection, input tax credits (ITCs), rebates (including PSB rebate if applicable), and filing cadence.
  • Maintain CRA‑compliant records for development expenditures and nonprofit activity.
  • Track HST on modular home manufacturing and delivery, contractor invoices, and land development.
  • Coordinate documentation with contractors, manufacturers, realtors/sales, legal, and financing partners.

3) Ongoing Bookkeeping Operations

  • Record day‑to‑day transactions (A/P, A/R, G/L entries, and payroll if applicable).
  • Reconcile bank, credit card, and loan accounts monthly.
  • Maintain organized, audit‑ready digital files and controls.
  • Track program/project revenues and expenses for leadership/board and stakeholders.
  • Support HST filings and compliance tracking.

4) Development & Construction Accounting (Tay Ridge)

  • Track costs accurately across pre‑development, development, and construction phases.
  • Maintain vendor ledgers (contractors, trades, manufacturers, inspectors, suppliers).
  • Allocate costs to lots, infrastructure assets, or capital accounts.
  • Reconcile progress invoices, change orders, and milestone payments.
  • Maintain construction draws and financing documentation (if applicable).

5) Home Sales & Lot‑Rent Revenue Accounting (Tay Ridge)

  • Record deposits, progress payments, and final sales for home purchasers.
  • Track A/R and support homeowner statements.
  • Build the transition to monthly lot‑rent operations, including recurring charges, invoicing, and payment workflows.

6) Transition to Operations & Monthly Financial Maintenance

  • Set up and operate monthly lot‑rent billing and collections.
  • Manage operating expenses (utilities, maintenance, insurance).
  • Maintain reserve fund accounting (capital & maintenance reserves).
  • Produce monthly financial reports suitable for:
    • LandSeed/Tay Ridge leadership
    • Board/investors (as applicable)
    • Community governance bodies
  • Keep continuous audit‑ready records and documentation.

7) Financial Reporting, Communication & Collaboration

  • Prepare monthly summaries and dashboards for leadership and the board.
  • Present clear explanations of financial statements to non‑technical staff.
  • Recommend process improvements for controls, workflows, and reporting.
  • Collaborate cross‑functionally: operations, construction management, modular manufacturing, sales/homeowner relations, and maintenance—proactive, professional communication is essential.

Qualifications

Required

  • 2–5+ years bookkeeping experience.
  • Ontario HST expertise across nonprofits and mixed activities (construction, manufacturing, capital projects, and home sales).
  • Experience setting up books from scratch for nonprofits and/or multi‑phase projects.
  • Strong proficiency with QuickBooks Online (or similar).
  • Ability to explain technical accounting terms in plain language.
  • High attention to detail, organization, and reliability.

Preferred

  • Experience with nonprofits, charities, cooperatives, or community organizations.
  • Experience with real estate development, construction accounting, land‑lease communities, or modular/manufactured housing.
  • Familiarity with fund accounting, reserve fund accounting, and ongoing property operations.
  • Understanding of CRA compliance for nonprofits and development projects.
  • Prior work in collaborative or volunteer‑based environments.

Soft Skills & Attributes

  • Clear, friendly communicator
  • Analytical, practical problem‑solver
  • Self‑directed with minimal supervision
  • Collaborative and service‑oriented
  • Comfortable with dynamic, evolving project structures
  • Alignment with LandSeed’s mission and values

Time Commitment

  • 3–5 hours per week
  • Flexible schedule
  • Minimum 3‑month commitment; 6+ months preferred due to project lifecycle

Please note: Only applications submitted with a resume will be considered.

Required degree level

  • Volunteer
  • Entry Level

Required languages

  • English