Location: On-Site Position Overview: We are seeking a highly skilled and experienced Corporate Controller to lead our finance and accounting functions. The Corporate Controller will be responsible for overseeing the company’s financial operations, ensuring compliance with accounting principles, and managing financial reporting, budgeting, and forecasting. The role is crucial for maintaining the company’s financial integrity, supporting strategic decision-making, and driving financial performance. Key Responsibilities: Financial Reporting & Analysis: - Lead the preparation of accurate and timely financial statements, including balance sheets, income statements, and cash flow statements, in compliance with GAAP (Generally Accepted Accounting Principles) and other regulatory standards.
- Oversee the month-end, quarter-end, and year-end closing processes.
- Prepare and present financial reports to senior management and the board of directors, providing insights into business performance, financial risks, and opportunities.
Budgeting & Forecasting: - Develop, implement, and manage the company’s annual budget and financial forecasts.
- Collaborate with department heads to ensure accurate budget planning and control, identifying potential variances and recommending corrective actions.
- Analyze financial performance against budget, provide commentary on key drivers, and advise management on necessary adjustments.
Internal Controls & Compliance: - Ensure that internal controls are in place and operational to safeguard company assets, prevent fraud, and ensure accurate financial reporting.
- Monitor and ensure compliance with all regulatory, tax, and legal requirements.
- Coordinate external audits and support the preparation of tax filings, financial audits, and other compliance-related initiatives.
Accounting Operations: - Supervise and manage the accounting team, providing guidance, training, and mentorship to ensure high performance.
- Oversee the day-to-day accounting operations, including accounts payable, accounts receivable, payroll, general ledger, and reconciliations.
- Implement process improvements and automate accounting processes to enhance operational efficiency.
Cash Flow Management: - Monitor and manage the company’s cash flow, ensuring that sufficient liquidity is available to meet business needs.
- Develop strategies to optimize working capital and manage credit, collections, and cash management activities.
Strategic Financial Planning: - Partner with senior leadership to develop long-term financial strategies that support the company’s growth objectives.
- Provide financial analysis for key business decisions, including capital expenditures, acquisitions, and investments.
Qualifications- Bachelor's degree in Accounting, Finance, or a related field (MBA or CPA preferred).
- Strong knowledge of GAAP, financial regulations, and tax laws.
- 5+ Years of experience managing accounting teams.
- Proficient in MS Excel, Word, Outlook, or other similar ERP systems.
- Experience with changes to accounting and related support systems a plus.
- Exceptional leadership, communication, and interpersonal skills.
- Familiarity with business intelligence tools and advanced financial modeling techniques.
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