What are the responsibilities and job description for the Corporate Controller position at Creative Financial Staffing?
CFS is partnering with an organization who is a leader in their industry, to identify a Corporate Controller to oversee all areas of accounting, finance, internal controls, operations, and HR. This is a dynamic and fast paced organization that is searching for a like minded individual to support organizational leadership in strategic growth efforts.
Corporate Controller
This is an excellent opportunity for a financially minded, sharp, and motivated candidate. The office culture is friendly, focused, and professional. There are significant learning and professional development opportunities available on unique, large-scale projects. The successful candidate will have the opportunity to interact with top tier professionals (bankers, lawyers, investors, CPAs, and financial advisors). Schedule is 8:30am to 5:30pm; weekend or evening work is rare.
Qualifications
We are seeking a candidate who:
- Holds a bachelor’s degree in Accounting or Finance. CPA or master’s degree preferred, but not required.
- Is recognized for accuracy and attention to detail
- Is skilled in preparing and defending financial statements and reports.
- Is an expert in QuickBooks, Microsoft Excel, and MS Office applications.
- Can prioritize multiple tasks and be effective in a fast-paced environment.
- Has intellectual curiosity, critical thinking skills, and a willingness to learn
- Demonstrates good judgement, discretion, and commitment to maintaining strict confidentiality.
- Has strong organizational, project management, and problem-solving skills
Responsibilities
- Lead general and advanced accounting functions, meeting all accounting deadlines.
- Accurately segregate and track multiple entities, investor accounts, projects, and bank accounts.
- Manage Accounts Payable, including coding, entry, and check preparation.
- Manage Accounts Receivable
- Manage payroll and benefits administration
- Prepare the month-end close including P&L, Balance Sheet, bank reconciliations, and cash flow reporting.
- Manage all bank accounts and reconciliations, report on balances weekly.
- Analyze general ledgers on cash and accrual basis ensuring accuracy and adherence to established accounting policies and procedures.
- Work with the external CPA firm regarding reporting and tax return preparation for multiple entities.
- Oversee insurance renewals and support risk management.
Compensation & Benefits
- Competitive salary commensurate with experience and skillset. Benefit package includes holidays, vacation, health insurance, 401k, and professional development.
- The company is an equal opportunity employer.
#cfssep2022
Salary : $10 - $100