Controller
Financial Reporting & Global Consolidation
Oversee the monthly and year-end close processes, including the preparation and review of monthly financial statements, management reporting, general ledger activity, and balance sheet reconciliations, ensuring accuracy, completeness, and integrity. Provide support to FP&A through actuals, variance analysis, and financial data integrity. Manage the financial consolidation of foreign subsidiaries, foreign currency translations and their implications, intercompany eliminations, and multi-entity reporting.
Audit & Compliance
Serve as the primary point of contact for external auditors; prepare audit schedules, gather documentation, and support continuous improvement of internal controls. Ensure compliance with internal controls, accounting policies, segregation of duties, and control remediation. Oversee reporting compliance across diverse regulatory frameworks, including US GAAP and local statutory/IFRS requirements where applicable. Research, document, and support the application of technical accounting guidance, accounting policies, and other relevant accounting matters.
Tax Management & Compliance
Manage and execute timely state and local tax compliance, including sales/use, property, and other jurisdictional taxes. Partner with external tax advisors to oversee tax compliance, including transfer pricing documentation, VAT/GST oversight, and foreign tax filings.
Accounting Services Oversight
Oversight and management of core accounting services, including treasury, accounts receivable, and accounts payable, to ensure accurate, timely, and efficient financial operations. Establish and maintain effective processes, controls, and service standards that support cash management, customer billing and collections, vendor payments, and related accounting activities.
Team Leadership & Goal Setting
Manage, coach, and develop the accounting team by setting clear expectations, assigning priorities, and supporting individual growth and accountability. Establish departmental goals, monitor progress against objectives, and align team activities with finance leadership priorities and overall business needs.
Business Intelligence and Reporting
Assist in synthesizing financial metrics into clear, concise operational reports and executive dashboards to support data-driven, operational, and financial decision-making.
Special Projects & Continuous Improvement
Support accounting process improvements, ERP-related accounting workflows, reporting enhancements, and automation initiatives to improve accuracy, efficiency, and scalability. Perform ad-hoc accounting and finance research, work on cross-functional finance projects, and keep abreast of accounting and finance updates, as needed, to support evolving business operations.