431 Corporate Controller jobs in Canada
Corporate Controller
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Where design meets opportunity, and careers are built to last!
Averton is an experienced and award-winning homebuilder, community developer, and construction management company and were looking to add a Corporate Controller that will bring their expertise and enthusiasm to our dynamic team!
As the Corporate Controller at Averton, you will be the heart of our financial management, responsible for overseeing all accounting functions, ensuring compliance, and driving strategic financial planning while maintaining the integrity of our financial processes. If you have a strong vision for excellence and a passion for precision, we want to hear from you!
This exciting opportunity is located in the vibrant city of Vaughan, Ontario, offering a dynamic in-office work environment where collaboration and team engagement are at the forefront.
As Corporate Controller, your daily responsibilities may include the following:
- Overseeing all financial operations and direct corporate financial planning structure
- Managing the preparation and review of monthly, quarterly, and annual financial statements and reports
- Ensuring compliance with accounting principles, regulations, and standards
- Developing and maintaining internal control policies, procedures, and systems to safeguard company assets
- Supervising the accounting department, including AP, AR, and payroll
- Coordination and preparation of internal and external financial audits
- Providing strategic financial input and leadership on decision-making issues affecting the organization
- Managing the budgeting, forecasting, and financial planning process
- Overseeing cash flow management
- Monitoring and analysis of financial performance against KPIs, providing insights and recommendations
- Leading the implementation of financial systems and technology improvements
- Ensuring accurate and timely tax filings and manage all tax-related matters
- Mentorship and development of finance staff, fostering a collaborative and high-performing team environment
- Supporting real estate development projects with financial analysis, feasibility studies, and project budgeting
- Overseeing the management and reporting of capital expenditures and project financing
- Maintaining relationships with external auditors, consultants, and regulatory authorities, as needed
You would make an ideal fit as our next Corporate Controller if you are able to demonstrate the following on your resume:
- Education
- Bachelors degree in accounting, finance, or a related field
- CPA (Certified Professional Accountant) designation
- Experience
- Several years of relevant accounting experience, preferably in construction or real estate
- Solid understanding of industry specific accounting practices, project accounting, and financial reporting requirements
- Experience with joint venture and limited partnership accounting
- Constellation Homebuilder Newstar Suite experience is advantageous
- Knowledge of Canadian payroll and compliance requirements including federal and provincial payroll laws, taxation rules, employment standards, and reporting obligations
- Skills
- Experience with software such Procore and ADP is an asset
- Advanced knowledge of MS Office, specifically Excel
- SQL database knowledge is an asset
- Experience with Canadian payroll processing software
Why join Averton?
- Collaboration: We play a team game. We work together to put customers needs first
- Curiosity: We challenge the status quo to find a better way forward
- Problem Solvers: It is our experience and dedication that find a better solution to the problems others ignore
- Truth Tellers: We are forward and honest about what is possible
To Apply:
If you think you are the perfect fit for this role, please submit your resume and cover letter. We thank all applicants for their interest, but only those selected for an interview will be contacted.
Averton is an equal opportunity employer and values diversity in its workforce. We encourage applications from all qualified individuals.
Corporate Controller
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Are you interested in joining a Canadian prop-tech startup leading the charge in real estate innovation? myAbode has big ambitions and we move fast were looking for like minds who take initiative and think outside the box. If you're excited by the potential for significant growth and the chance to make a real impact, this is an opportunity to be part of something big.
About Us
One of the biggest decisions in life is finding a home. Yet, whether youre buying, selling, or leasing, the process can feel overwhelming and disjointed. The same is true for real estate professionals, who often rely on antiquated systems and even older technology. We believe real transformation can only happen with a connected ecosystem built for consumers, agents, and brokerages alike.
Thats why we created myAbode. To simplify every part of homeownership, from search to signing.
myAbode may be new, but our roots run deep Our search platformscondos.ca,property.ca, andmrloft.ca have helped thousands of Canadians find their perfect home. We build integrated tools that simplify each step of the homeownership journey for everyone involved. By empowering consumers and agents with powerful tools, myAbode enables real estate professionals to focus on what they do best: guide people home.
We have an exciting opportunity for a Corporate Controller, based in our Toronto office, to lead Finance and Deal Processing teams in a rapidly growing start-up environment. The Controller will report directly to the Chief Financial Officer and will be responsible for overseeing financial reporting and a variety of operational business activities that will help guide management in making key business decisions.
Key Responsibilities
- Ensure accurate and timely month-end financial close process, including the consolidation of all subsidiaries.
- Manage and mentor the finance and deal processing teams.
- Manage, oversee and improve all aspects of the daily operations of the finance department such as cash management, internal controls, and treasury.
- Oversee the companys payroll processing.
- Oversee internal and external financial reporting to various stakeholders, including the executive team, external investors, Board, etc.
- Work with the CFO and executive team to develop financial budgets and forecasts, and perform a variance analysis against the forecasts.
- Oversee and optimize all finance processes, including sales operations, deal processing, procurement, treasury and cash management.
- Preparation and maintenance of KPI dashboards to enable and support decision making.
- Manage the Companys annual external financial audit, in compliance with IFRS.
- Manage the Company's capitalization table, stock option register, and other corporate records.
- Manage tax compliance in different jurisdictions, including, but not limited to, sales taxes, income taxes, and withholding taxes
- Lead the SR&ED process with external providers and engineering team
- Work on ad-hoc projects as the need arises.
Key Attributes & Values
- Positive Energy: Brings optimism and momentum to every challenge.
- Process Driven: Always seeking ways to improve efficiency and effectiveness.
- Service-Minded: Actively helps business units succeed with high EQ and responsiveness.
- Strategic & Hands-On: Can think big picture and roll up sleeves when needed.
- Small-Team Mentality: Builds lean teams and avoiding bureaucracy or empire-building.
- Empathetic Leader: Cares deeply about agents and the consumer experience.
- Welcoming Culture Champion: Approaches small businesses with curiosity, respect, and a desire to support their growth.
Success Metrics / KPIs
- Month end close process improvements, ensuring accuracy and timeliness.
- Efficiency and scalability of finance functions and processes.
- Maintenance and expansion of solid internal control framework.
- Improvement in systems to track and report KPIs.
Talent Specs
- Minimum 5 years experience in a similar role
- CPA designation
- Solid understanding and application of IFRS
- Experience in a small business or technology related company would be an asset
- Experience with LoneWolf and QuickBooks Online is an asset
myAbode is an equal opportunity employer committed to fostering a diverse and inclusive work environment. We consider all qualified applicants and will meet the needs of those requiring reasonable accommodations.
Qualified applicants must hold appropriate citizenship or documents permitting them to reside and work in Canada.
Corporate Controller
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The Client:
Our client is a long-standing leader in the Heavy Civil Construction industry with a project resume spanning the renewable and non-renewable energy, mining and forestry sectors, among others. Their diverse and technically advanced team provides guidance and leadership in all departments of the company. If you are interested in elevating your experience and advancing your career in the private sector with a rapidly growing group of companies, we invite you to join our Finance team as the Corporate Controller.
Team & Culture
They are looking for a Chartered Professional Accountant (CPA) ready for the next step in their career to join our dynamic team as the Corporate Controller. In this dynamic role, you will report directly to the CFO and be immersed in the financial well-being of our growing group of companies which include civil construction, industrial electric, equipment maintenance, parts sales and land development entities. You will manage and guide the accounting team to provide timely and accurate financial reporting, efficient information processing and deep financial insight into the group of companies. Comfortable working in a fast-paced environment, you will present strong leadership skills with the ability to excel in your work both collaboratively and independently.
Expectations
• Excellent leadership skills
• Strong time management and prioritization skills to ensure deadlines are met.
• Demonstrated independent problem-solving skills.
• Superior attention to detail without losing high-level perspective.
General Duties
• Oversee the preparation of monthly reporting packages for all companies in the group
• Review financial results and be able to explain variances, trends, etc. to management team
• Prepare and review accounting estimates such as % completion revenue recognition reports, standard cost inputs and others.
• Manage the company’s accounting team and ensure that they are meeting their goals and objectives
• Assist in preparing and maintaining company budgets and forecasts.
• Work closely with external auditors to facilitate the annual audit process
• Continuously identify opportunities for process improvements and implement best practices across the organization
• Ensure compliance with all laws and regulations.
Qualifications
• CPA designation in good standing
• Advanced knowledge of accounting and finance principles and processes including budgeting, forecasting, financial reporting, etc.
• Solutions focused with a proven ability to leverage technology to maximize efficiency.
• Minimum 5 years experience in a public accounting firm, including auditing experience.
• Advanced skill set in MS Office and demonstrated superior skills with MS Excel.
• Experience with MS Dynamics Business Central is preferred.
Hybrid remote work option is available. Infrequent travel may be required.
Corporate Controller
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Corporate Controller - Hybrid Opportunity
Position Overview:
Lambert Nemec Group is partnering with a respected and rapidly growing organization in their search for a Corporate Controller. This is an exceptional opportunity for a seasoned finance leader to step into a critical role with direct impact on business operations and strategic growth. The successful candidate will oversee consolidated financial reporting, ensure regulatory compliance, and lead a high-performing finance team—all within a dynamic, evolving environment backed by strong financial sponsorship.
Key Responsibilities:
• Lead and manage all financial operations including general ledger, banking, insurance, and internal/external financial reporting
• Oversee monthly, quarterly, and year-end close processes across multiple entities, ensuring accuracy and timeliness
• Prepare and review consolidated financial statements under Canadian GAAP/ASPE
• Lead cash flow forecasting, tax compliance (GST/PST), and banking covenant reporting
• Manage treasury, hedging, and corporate insurance programs
• Support budgeting, forecasting, project costing, and capital planning in partnership with FP&A
• Drive continuous improvement in financial systems, policies, and internal controls
• Collaborate with auditors, senior leadership, and board stakeholders
• Mentor and develop a team of accounting professionals
Requirements:
• CPA designation (CA, CMA, or CGA)
• 7+ years of progressive finance and accounting experience, including 3+ years in a senior leadership or controller capacity
• Public accounting and/or private equity reporting background required
• Strong experience managing financials across multiple entities or divisions
• Demonstrated knowledge of Canadian GAAP/ASPE, GST/PST, and regulatory compliance
• Experience in a leveraged environment with cash management and covenant monitoring
• Proven track record improving systems and processes (NetSuite experience an asset)
• Excellent analytical, organizational, and leadership capabilities
Rewards:
• Competitive compensation package with a base salary range of $140,000-160,000 reflective of experience and impact.
• Performance based bonus plan.
• Opportunity to shape and scale financial operations in a growing organization
• Exposure to private equity reporting and strategic business decision-making
• Supportive leadership and a performance-driven culture
• Make a measurable impact in a fast-paced, mission-oriented business
To Apply:
If you are interested in this opportunity, please forward your resume (in Word format) directly to Brittani Lutz, RPR, “Corporate Controller” in the subject line of your email.
To view other opportunities currently available, please visit: -opportunities/index.html#/jobs
We thank all applicants in advance; however, only those individuals who best meet our client’s specifications will be contacted. All other resumes will be kept on file for future consideration.
Corporate Controller
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JOB SUMMARY
The Corporate Controller provides strategic financial and accounting oversight and leadership to our manufacturing client, including managing and directing all accounting, finance, treasury, risk management and administrative functions, to ensure accurate financial reporting and maximum business value to shareholders.
LOCATION
Delta, BC. (Flexibility - moving towards hybrid working)
JOB RESPONSIBILITIES
Accounting and Finance
- Plan, direct and coordinate accounting policies, operations, procedures and internal controls across all divisions of the company. Design and implement new processes as needed.
- Ensure management and shareholders are provided with meaningful information to optimize profitability.
- Perform full cycle accounting; oversee A/P, A/R, G/L and Payroll; all areas of operations.
- Ensure the accounting of revenues and expenses are performed in an accurate, efficient and timely manner.
- Monitor day-to-day banking and maintain company cash-flows.
- Oversee company’s credit facilities, managing credit requirements and costs.
- Maintain strong relationships with creditor and bankers.
- Oversee regulatory reporting, including tax planning, compliance, and corporate year end.
- Coordinate and prepare internal and external financial reports and financial statements.
- Manage the interaction with external auditors and accountants including maintaining a strong relationship and coordinating activities and information exchange.
- Oversee the setting of budgets for all capital projects.
- Oversee the regular forecasting of capital project budgets and issuance of reports to key stakeholders.
- Maintain inventory system; reviewing, analyzing and verifying inventory and WIP.
- Develop activity based or standard costing around inventory, as needed.
- Manage capital asset budgets and work with management to set asset optimization strategies.
- Collaborate with management and staff to establish pricing strategies.
Strategic Planning
- Partner with management and ownership to refine business strategies, increasing profitability and operational efficiencies.
- Provide input into the strategic direction of the company and its short term and long-term business plans, including supervising and preparing comprehensive current and long-term (3-5 year) financial plans and budgets.
- Collaborate with management in building the business by evaluating the feasibility of projects that are supported by a sound business case.
- Analyze the profitability of company divisions and provide recommendations for improvement.
- Develop and monitor business performance metrics (KPIs).
Risk Management
- Identify and manage business risks and insurance requirements.
- Coordinate with corporate lawyers to manage legal actions including legal disputes, corporate minute book, and corporate filings.
- Collaborate with management in contract negotiations and contract development, generating meetings and agendas, creating agreements and legal contracts as necessary.
- Evaluate the effectiveness of accounting software and supporting databases. Collaborate with management on technology decisions, and oversee financial systems implementation and upgrades.
Human Resources
- Manage direct reports including providing supervision over their duties, and coordinating performance reviews.
REQUIRED EXPERIENCE AND CREDENTIALS
- Minimum of 5 years of experience as a manager in a financial related field
- A Bachelor’s degree and CPA designation.
Corporate Controller
Posted today
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Job Description
JOB SUMMARY
The Corporate Controller provides strategic financial and accounting oversight and leadership to our manufacturing client, including managing and directing all accounting, finance, treasury, risk management and administrative functions, to ensure accurate financial reporting and maximum business value to shareholders.
LOCATION
Delta, BC. (Flexibility - moving towards hybrid working)
JOB RESPONSIBILITIES
Accounting and Finance
- Plan, direct and coordinate accounting policies, operations, procedures and internal controls across all divisions of the company. Design and implement new processes as needed.
- Ensure management and shareholders are provided with meaningful information to optimize profitability.
- Perform full cycle accounting; oversee A/P, A/R, G/L and Payroll; all areas of operations.
- Ensure the accounting of revenues and expenses are performed in an accurate, efficient and timely manner.
- Monitor day-to-day banking and maintain company cash-flows.
- Oversee company’s credit facilities, managing credit requirements and costs.
- Maintain strong relationships with creditor and bankers.
- Oversee regulatory reporting, including tax planning, compliance, and corporate year end.
- Coordinate and prepare internal and external financial reports and financial statements.
- Manage the interaction with external auditors and accountants including maintaining a strong relationship and coordinating activities and information exchange.
- Oversee the setting of budgets for all capital projects.
- Oversee the regular forecasting of capital project budgets and issuance of reports to key stakeholders.
- Maintain inventory system; reviewing, analyzing and verifying inventory and WIP.
- Develop activity based or standard costing around inventory, as needed.
- Manage capital asset budgets and work with management to set asset optimization strategies.
- Collaborate with management and staff to establish pricing strategies.
Strategic Planning
- Partner with management and ownership to refine business strategies, increasing profitability and operational efficiencies.
- Provide input into the strategic direction of the company and its short term and long-term business plans, including supervising and preparing comprehensive current and long-term (3-5 year) financial plans and budgets.
- Collaborate with management in building the business by evaluating the feasibility of projects that are supported by a sound business case.
- Analyze the profitability of company divisions and provide recommendations for improvement.
- Develop and monitor business performance metrics (KPIs).
Risk Management
- Identify and manage business risks and insurance requirements.
- Coordinate with corporate lawyers to manage legal actions including legal disputes, corporate minute book, and corporate filings.
- Collaborate with management in contract negotiations and contract development, generating meetings and agendas, creating agreements and legal contracts as necessary.
- Evaluate the effectiveness of accounting software and supporting databases. Collaborate with management on technology decisions, and oversee financial systems implementation and upgrades.
Human Resources
- Manage direct reports including providing supervision over their duties, and coordinating performance reviews.
REQUIRED EXPERIENCE AND CREDENTIALS
- Minimum of 5 years of experience as a manager in a financial related field
- A Bachelor’s degree and CPA designation.
Corporate Controller
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A fast-growing organization in the infrastructure and industrial services space is hiring a Corporate Controller to support its evolving finance operations. Following a recent acquisition and continued expansion across North America and Asia, this leadership role offers the opportunity to build and enhance reporting processes in a multi-entity environment. It’s ideal for a CPA with a strong foundation in external reporting and financial consolidation, ready to take ownership of a high-impact portfolio.
About the Role
Reporting to a senior finance executive, the Corporate Controller will oversee financial reporting and consolidation for several business entities across Canada, the U.S., and Asia. This position plays a central role in shaping the post-acquisition financial structure and ensuring compliance with accounting standards.
What You’ll Do
- Manage monthly and quarterly consolidation and external reporting across international operations
- Lead financial reporting during a post-acquisition transition period with a recently integrated entity
- Collaborate with leadership to optimize accounting workflows and implement best practices
- Ensure accuracy and compliance in financial reporting across all business units
- Support year-end audit processes and liaise with external partners
- Build scalable financial processes and contribute to the ongoing restructuring of the finance team
- May oversee junior accounting staff or divisional finance functions depending on structure
- CPA designation required
- 5+ years of experience in external reporting, public accounting, or multi-entity consolidation
- Proven ability to work in fast-paced, complex environments with evolving business needs
- Strong technical knowledge of financial reporting standards and consolidation principles
- Experience with post-acquisition integration or working under transitional service agreements is an asset
- Clear communication and leadership skills
This is a rare opportunity to step into a strategic leadership role during a critical phase of organizational growth. You’ll be joining a collaborative and driven team where your contributions will directly shape the finance function. Ideal for someone seeking challenge, ownership, and the ability to influence financial strategy at a corporate level.
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Corporate Controller
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Company Description
About Us: SSENSE (pronounced (es-uh ns)) is a global technology platform operating at the intersection of culture, community, and commerce. Headquartered in Montreal, it features a mix of established and emerging luxury brands across womenswear, menswear, kidswear, and Everything ElseTM. SSENSE has garnered critical acclaim as both an e-commerce engine and a producer of cultural content, generating an average of 100 million monthly page views.
Job DescriptionWe are looking for a visionary and dynamic Corporate Controller to lead and scale our accounting functions. As a strategic partner to the Chief Financial Officer, you will be at the heart of our financial integrity, responsible for steering accounting operations, optimizing our systems, and developing a high-calibre team. If you are a proactive leader who is passionate about process improvement and ready to make your mark in a fast-growing environment, this opportunity offers you company-wide visibility and a direct impact on our success.
Your Key Responsibilities:
Drive the full accounting cycle and lead the preparation of consolidated monthly, quarterly, and annual financial statements in accordance with IFRS.
Oversee daily accounting operations, including general ledger, cost accounting, inventory management, and revenue recognition.
Lead the optimization of our financial systems, particularly SAP, by spearheading automation and process improvement projects to increase efficiency.
Develop and maintain a robust internal control framework and accounting policies to ensure the integrity of financial information and mitigate risks.
Act as the primary point of contact for external auditors and ensure strategic monitoring and application of new accounting standards.
Collaborate closely with the Financial Planning & Analysis (FP&A) team to align systems and data for streamlined forecasting and reporting.
Serve as a key business partner to management by providing financial analysis and recommendations to support strategic decisions and cost control.
Manage, mentor, and develop a high-performing accounting team, fostering a culture of accountability, collaboration, and continuous improvement.
Valid CPA designation and a bachelor's degree in accounting, finance, or a related field.
At least 10 years of progressive accounting experience, including a minimum of 5 years in a controller role or equivalent.
In-depth expertise in IFRS and the consolidation of complex operations (multi-entity, multi-currency).
Solid hands-on experience with SAP ERP, ideally with involvement in financial system optimization or implementation projects.
Proven leadership skills with a demonstrated ability to develop and mobilize a team in a fast-paced environment.
Strong analytical skills, attention to detail, and an aptitude for complex problem-solving.
Ability to navigate ambiguity, manage multiple priorities, and drive organizational change.
Excellent communication skills and bilingualism (French/English) are essential to collaborate with our teams and partners globally.
Additional Information
Hybrid work schedule
We believe in a balance between in-person collaboration and flexibility. That's why this is a hybrid role, with in-office days on Tuesdays and Wednesdays to connect as a team, and the potential for additional days based on business needs.
Perks And Benefits:
- Extended health and dental benefits, including comprehensive mental health programs and coverage.
- Parental top up program.
- Generous Employee Discount.
- Access to telemedicine and employee and family assistance program.
- Savings and retirement plan matching contributions.
- Gender Affirmation Coverage.
- Opportunity to work with cutting edge technologies and an innovative team that’s pushing the boundaries of technology.
SSENSE is an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees. If you need special accommodations, let us know. We will do our best to accommodate you!
#LI-Hybrid
Corporate Controller
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Job Description
Company Nanalysis Corp.
Position Corporate Controller
Full-time YES
Location Calgary
Position Summary
Nanalysis is a manufacturer and global supplier of high tech instrumentation and maintenance services.
Nanalysis is seeking a detail-orientated Corporate Controller . The successful candidate will be responsible for the preparation and distribution of various internal and external financial statements to management, maintenance of the organization’s general ledger, and ensuring that all transactions and documentation complies with IFRS. The Corporate Controller will report to the CFO and will support the broader Nanalysis team. Compensation will be commensurate with experience.
Nanalysis is building a highly creative and hard-working team and offers competitive compensation packages as well as an exciting work environment with upward trajectories for its employees.
Primary Duties/Responsibilities:
- Lead the finance and accounting team of six providing guidance, training, and oversight
- Responsible for day-to-day financial operations of the organization including: operating cash-flow, management of the general ledger, banking, payroll, accounts payable, accounts receivable, and government reporting and remitting.
- Work closely with the Director of Financial Reporting on:
- The consolidated monthly financial reporting package including commentary and variance analysis and Review and analysis of monthly budget and forecast variances
- Quarterly and annual consolidated financial statements in accordance with IFRS
- Liaising with external auditors for quarterly reviews and annual audits
- Oversee treasury management and short-term cash management
- Liaise with marketing and operational personnel regarding monthly financial performance and routine analysis and credit approvals for new customers
- Covenant calculations and reporting to the Company’s bank
- Work closely with other accounting and IT personnel to identify and implement process and system efficiencies
- Lead the corporation’s internal control development, monitoring and reporting
- Supervise payroll and payroll tax matters
- Oversee indirect tax filings, workers compensation filings, and assist with corporate tax items
- Perform other ad-hoc duties as required
Background and Experience Sought:
- CPA designation required
- 10+ years of experience in progressively more senior accounting and finance roles
- Strong technical accounting knowledge with IFRS/Public Company reporting requirements
- Advanced proficiency in Excel, PowerPoint & Word
- Experience in cost accounting and manufacturing
- Excellent interpersonal skills
- Strong leadership skills with the ability to work independently
- Strong communication, time management, and multitasking skills, as well as the ability to prioritize tasks with minimal supervision
- The ability to communicate in French is considered an asset
- Experience in Microsoft Dynamics Business Central is an asset
- Experience in ERP implementation is an asset
- The ability to motivate teams to produce quality work within tight deadlines
- Professional, responsive, and positive attitude is essential
Nanalysis Scientific Corp. operates two primary business segments: Scientific Equipment and Security Services. Within its Scientific Equipment business is what the Company terms "MRI and NMR for industry". The Company develops and manufactures portable Nuclear Magnetic Resonance (NMR) spectrometers or analyzers for laboratory and industrial markets.
The Company's devices are used in many industries (oil and gas, chemical, mining, pharma, biotech, flavor and fragrances, agrochemicals, law enforcement, and more) as well as numerous government and university research labs around the world. The Company continues to exploit new global market opportunities independently and with partners. With its partners, the Company provides scientific equipment sales and maintenance services globally.
In 2022 the Company was awarded a five-year, $160 million contract to provide maintenance services for passenger screening equipment in Canadian airports. This has resulted in expansion of the Company's Security Services business. The Company is providing airport security equipment maintenance services in each province and territory of Canada. In addition, the Company provides commercial security equipment installation and maintenance services to a variety of customers in North America.
Nanalysis Scientific Corp. operates two primary business segments: Scientific Equipment and Security Services. Within its Scientific Equipment business is what the Company terms "MRI and NMR for industry". The Company develops and manufactures portable Nuclear Magnetic Resonance (NMR) spectrometers or analyzers for laboratory and industrial markets.
The Company's devices are used in many industries (oil and gas, chemical, mining, pharma, biotech, flavor and fragrances, agrochemicals, law enforcement, and more) as well as numerous government and university research labs around the world. The Company continues to exploit new global market opportunities independently and with partners. With its partners, the Company provides scientific equipment sales and maintenance services globally.
In 2022 the Company was awarded a five-year, $160 million contract to provide maintenance services for passenger screening equipment in Canadian airports. This has resulted in expansion of the Company's Security Services business. The Company is providing airport security equipment maintenance services in each province and territory of Canada. In addition, the Company provides commercial security equipment installation and maintenance services to a variety of customers in North America.