Employer Active
Job Alert
You will be updated with latest job alerts via emailJob Alert
You will be updated with latest job alerts via emailAbout This Role
The Controller will be responsible for working seamlessly with people across the organization to ensure accurate financial control and reporting.
Essential Responsibilities
Establishing communicating and refining financial policies procedures controls and reporting systems
Reconcile and analyze balance sheet accounts to ensure transactions are recorded accurately and account balances are accurately stated in accordance with GAAP and Company policy including journal entries and account reconciliations.
Prepare consolidated internal and external financial statements by gathering and analyzing information from the general ledger system and from departments
Monitor funds for payment of payroll taxes and cash position
Perform accounting analyses and reporting functions
Prepare/maintain/review monthly (in compliance with US GAAP) financial statements including income statements balance sheets equity roll forward cash flows and various management reports ensuring accuracy and consistency with accounting standards.
Manage and prepare the monthend close process including review of journal entries account reconciliations and account analyses in a timely manner
Manage and prepare year end closing information
Administer all accounting operations including Billing A/R A/P GL and Counsel Construction Accounting and Revenue Recognition
Enhance and implement financial and accounting systems processes tools and control systems with the goal of maximum utility to the executive team and other departmental leaders
Serve as a key point of contact for external auditors; Manage preparation and support of all external audits.
Manage the cash flow planning process and ensure funds availability.
Interpret develop implement and monitor all accounting policies processes and procedures. Provide counsel on accountingrelated issues disclosure obligations related to business transactions and financial statements.
Develop processes systems and tools for accounting internal controls reporting billing/credit/collections cash management procure to pay and order to cash policies and procedures. Ensure compliance with all policies and requirements and provide accurate timely and useful management reports. Ensure strong internal controls are developed implemented and maintained.
Oversee cash management and serve as a primary point of contact on commercial banking relationships
Monitor debt and credit pursue collections
Experience with legal entities consolidation intercompany eliminations
Handson partner to Management Team for business planning financial forecasting budgets and management reporting activities
Research technical accounting issues for compliance
Establishing monitoring and enforcing internal controls
Ad hoc projects and special reporting as needed
Management of financial team members including interviewing candidates for any open positions training new team members and managing the performance of team members.
Preferred Experience and Education
Experience with intercompany activity consolidations inventory management and taxes is preferred
Experience working with financial software to manage company finances.
Full Time