Job Description
High growth technology solutions firm is hiring for a Corporate Controllerfor their Los Angeles headquarters, reporting directly to the Chief Financial Officer. This role will develop and ensure compliance with accounting practices and procedures, develop forward-looking insights based on historical data, and provide support to meet and implement government compliance requirements. This position is on a hybrid schedule, 3X in office.
Responsibilities:
- Oversee all accounts, ledgers, and reporting systems, ensuring compliance with GAAP and other appropriate accounting standards and regulatory requirements.
- Develop and enforce internal controls to maximize the protection of company assets, policies, procedures, and workflows.
- Manage timely month-end close and create the month-end and quarterly reporting package.
- Collaborate with the FP&A team to manage organizational cash flow forecasting.
- Establish, in coordination with the CFO, financial and operating benchmarks, budgets, program monitoring, and reporting standards on biweekly, monthly, quarterly, and annual basis.
- Direct financial audits and provide recommendations for procedural improvements.
- Analyze financial data and present financial reports in an accurate and timely manner; clearly communicate monthly, quarterly, and annual financial statements, including variances.
- Lead treasury management responsibilities include reviewing and recommending credit terms for new customers, managing vendor relations, commercial banking, lessors, casualty/liability insurance brokers, credit card companies, payroll services, and collection agencies.
- Assist in implementing financial information systems, including ERP/MRP accounting/inventory systems.
- Monitor the organization's overall financial health, advise, and collaborate with senior leadership on best practices and opportunities for process improvements.
Qualifications:
- Bachelor's degree in the field of finance or accounting.
- Public private combined experience.
- Must have a CPA license.
- 10+ years of experience in a finance or accounting position.
- 5+ years in a manufacturing environment.
- Cost Accounting, transactional accounting, and inventory experience.
- Knowledge of finance, GAAP accounting, budgeting, and cost control principles.
- Knowledge of automated financial and accounting reporting systems.
- Working knowledge of short-term and long-term budgeting and forecasting, rolling budgets, and product-line profitability analysis.
- Strong analytical, organizational, and pragmatic problem-solving skills.
- Knowledge of various tax regulations and reporting.