The Controller leads the General Ledger and Cash Management teams, overseeing financial reporting, banking, taxes, and internal controls in a multi-company environment.
Responsibilities include managing financial reporting, general ledger activities, cash processes, consolidations, external audits, month-end closing, and performance metrics. The role involves developing departmental goals, overseeing accounts payable, reconciliations, budgeting, and internal control systems, as well as regulatory and tax compliance.
Qualifications include a bachelor’s degree, 10+ years of financial management experience, supervisory skills, and proficiency with financial software (Oracle Cloud, PowerBI). Strong knowledge of GAAP, excellent communication, leadership, project management, and the ability to adapt in a fast-paced environment are essential. Bilingual skills (English/Spanish) are a plus.