Darin Harris Email & Phone Number
@londonhydro.com
2 phones found area 226
LinkedIn matched
Who is Darin Harris? Overview
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Darin Harris is listed as Management at London Hydro, a with 207 employees, based in St Thomas, Ontario, Canada. AeroLeads shows a work email signal at londonhydro.com, phone signal with area code 226, and a matched LinkedIn profile for Darin Harris.
Darin Harris previously worked as Material Strategy at Xcel Energy and Logistics and Operations Analyst Supervisor at London Hydro. Darin Harris holds Bachelor Of Commerce, Accounting, Finance from Ryerson University.
Email format at London Hydro
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AeroLeads found 1 current-domain work email signal for Darin Harris. Compare company email patterns before reaching out.
About Darin Harris
Darin Harris is a Management at London Hydro. He possess expertise in forecasting, analysis, sap, budgets, project planning and 27 more skills. Colleagues describe him as "I have known Darin Harris for a number of years, and have always been thoroughly impressed by the quality of work he completes. He has always been a strong leader in any role he was in. Darin is always willing to lend a helping hand to solve any problem, or to help educate others on best practices. He is one of the kindest people to work with, and should be a welcomed and valued member of any team."
Listed skills include Forecasting, Analysis, Sap, Budgets, and 28 others.
Darin Harris's current company
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Darin Harris work experience
A career timeline built from the work history available for this profile.
Material Strategy
Logistics And Operations Analyst Supervisor
Management. coordination and control of $25M+ Annual Capital Budget
Logistics And Operations Support Analyst
Senior Capital Accountant
Mine Accountant
Production And Planning Financial Analyst
We seek a results-driven and exceptionally organised individual, with extensive costing experience, to focus their efforts on providing financial support and assistance to the Diamond and Specialty Products. Your key responsibility will be to deliver accounting support for designated operational areas including:Monthly reporting and analysis including identification and delivery of business improvement opportunitiesAnalysis and capture of associated operating and capital expenditure benefits as requiredAssistance to ensure that all risk management and audit activities, including implementation and management of SOX requirements and IFRS are completed to scheduleEnsuring compliance with BHP Billiton Accounting policies and Accounting standardsSkills and ExperienceThe successful person will be degree qualified and have approximately 3 to 4 years post graduate accounting experience. A background in management accounting combined with experience in financial performance, financial process management, risk management and internal controls will be preferable. The ideal person will be a team player with proven ability to meet deadlines. In addition, working knowledge of SAP, as well as previous mining or site based experience will be highly regarded. The ideal candidate will have strong relationship building capability and will be acting as the business partner for several of the operational areas.
Capital And Bank Reconciliation Accountant
As the Capital & Bank Reconciliation Accountant my primary responsibilities are to provide financial support and analysis to the Engineering department, Operations, Senior Management and the Board of Directors. Regular duties include initializing, job cost revisions and closing out on all Capital projects; installation of project and general ledger coding, access set up and cost allocation on Capital projects, as well as, reporting on Capital Projects labour, material, overhead, general and administrative expenses, as well as other direct cost that are present in all Capital funding projects. Further to the Capital project aspect, I am also responsible for reconciling all bank accounts for Head Office and all Regional accounts. Analyze and report status of all current Capital Projects; their cost, budget and varianceComplete Job Cost Revisions on Capital Projects based on budgetary or fiscal timelinesCreation and close out of Capital Projects with Engineering departmentReconcile Main bank, transfer, Imprest, USD, Payroll, accounts to GL. Audit preparation and response to Auditor requestReport to Canadian Government on Statistic Canada Reporting requestsAssist in the creation of BoD reports with the President and Director of EngineeringTrain engineering group on close out and project cost revision duties
Program Financial Analyst
As the Program Financial Analyst my primary responsibilities are to provide financial support and analysis to programming, scheduling, production and program management. Regular duties include weekly reporting on labour, material, overhead, general and administrative expenses, as well as other direct cost actuals and the financial variance analysis inherent therein; researching and preparing bid of estimates to gain new business and additional scope to existing business; preparing and reporting on forecasted cost, sales and earnings and evaluate any delta dissent.Prepare budget review files in anticipation of forward looking financial position.Assist in quarterly audits on financial, work flow and procurement processesLiaise with US Land Systems counter parts to divide joint venture funding grants and cost distributions.Adhere to USA ITAR (International Trade Arms Regulations) and Canadian arms trade laws.Participate with team in continuous improvement projects and suggestionsComputer software – Oracle, Microsoft Office, Bid-I, ProClarity, Lotus Notes, Bi-Web, Hyperion
Junior Accountant - Commercial Control
As the Inventory and Commercial Control Accountant my primary responsibilities are to support the divisional commercial control function with regards to costing, pricing, analysis, reporting, forecasting and budgeting, as well as perform all inventory control duties including: issuing manufacturing orders, cost analysis, variance analysis, physical inventory reconciliation and issuing cycle counts. It is also the Inventory and Commercial Control Accountant’s responsibility to support the commercial and purchasing functions by administering sales contracts, purchasing contracts and freight contracts in an accurate and timely fashion to facilitate Management’s decision making processes with regards to pricing, procurement negotiations, commitments and exposures. Model costs for new and existing items by running formulas, identifying cost drivers and verifying cost dataMaintain, monitor and update purchasing contracts for Bill of Material itemsMaintain Labour, Overhead, Energy & Loss grids by location and workcentresPrepare and maintain quotes in CRM, prepare quote letters and file quotesMaintain sales contracts and price books, ie expiry dates, update new prices, freight rates, rebatesPrepare annual price lists by customer and technology, support price increase processMaintain CDC rebates quarterlyCalculate and prepare periodic transfer pricesMaintain Sales Representative files, Responsibility files and Global Parent Codes in Customer Master FileAnalyse and report on commodity and foreign currency commitments and exposuresSet up, maintain and update subscriptions in KABIRun various reports from KABI, OLAP, CRM, AS400 such as but not limited to First Time OrdersInput, verify volume, price and cost dataParticipate with team in continuous improvement projects and suggestionsComputer software – AS400, Microsoft Office, SQL Reporting Services, ProClarity, Lotus Notes, Salesforce.com
Support Worker Iii
Colleagues at London Hydro
Other employees you can reach at londonhydro.com. View company contacts for 207 employees →
Greg Wells
Colleague at London HydroLondon, Ontario, Canada
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BF
Bobby Ferreira
Colleague at London HydroKomoka, Ontario, Canada
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DM
Darren Mcfadden
Colleague at London HydroCanada
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AI
Andrei Iliescu, C.E.T.
Colleague at London HydroLondon, Ontario, Canada
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HC
Hayden Cook
Colleague at London HydroCanada
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JB
Jenna Beernink
Colleague at London HydroOntario, Canada
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HM
Hussain Masud
Colleague at London HydroLondon, Ontario, Canada
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DD
Dave Dalrymple
Colleague at London HydroLondon, Ontario, Canada
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TT
Trace Tiersma, Dipl. M.A.
Colleague at London HydroAylmer, Ontario, Canada
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PB
Pamela Beeson
Colleague at London HydroGranville Ferry, Nova Scotia, Canada
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Darin Harris education
Bachelor Of Commerce, Accounting, Finance
Bachelor Of Commerce (B.Com.), Accounting And Finance
Business Administration, Accounting
Education record
Education record
Education record
Frequently asked questions about Darin Harris
Quick answers generated from the profile data available on this page.
What company does Darin Harris work for?
Darin Harris works for London Hydro.
What is Darin Harris's role at London Hydro?
Darin Harris is listed as Management at London Hydro.
What is Darin Harris's email address?
AeroLeads has found 1 work email signal at @londonhydro.com for Darin Harris at London Hydro.
What is Darin Harris's phone number?
AeroLeads has found 2 phone signal(s) with area code 226 for Darin Harris at London Hydro.
Where is Darin Harris based?
Darin Harris is based in St Thomas, Ontario, Canada while working with London Hydro.
What companies has Darin Harris worked for?
Darin Harris has worked for London Hydro, Xcel Energy, De Beers Canada Inc (Dbci), Bhp Billiton, and Northwest Territories Po.
Who are Darin Harris's colleagues at London Hydro?
Darin Harris's colleagues at London Hydro include Greg Wells, Bobby Ferreira, Darren Mcfadden, Andrei Iliescu, C.E.T., and Hayden Cook.
How can I contact Darin Harris?
You can use AeroLeads to view verified contact signals for Darin Harris at London Hydro, including work email, phone, and LinkedIn data when available.
What schools did Darin Harris attend?
Darin Harris holds Bachelor Of Commerce, Accounting, Finance from Ryerson University.
What skills is Darin Harris known for?
Darin Harris is listed with skills including Forecasting, Analysis, Sap, Budgets, Project Planning, Variance Analysis, Management, and Accounting.
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