{"schemaVersion":"jobsearcher.job.v1","id":"9b7fecac00bd9a21a3bff29d","url":"https://jobsearcher.com/jobs/9b7fecac00bd9a21a3bff29d","canonicalUrl":"https://jobsearcher.com/jobs/9b7fecac00bd9a21a3bff29d","title":"Controller","description":"SUMMARY:\nThis role requires a candidate capable of fulfilling each critical function effectively. The outlined requirements reflect the necessary knowledge, skills, abilities, physical demands, and work environment for the role, not an exhaustive list. Accommodations may be provided for those with disabilities to perform crucial tasks.\nResponsibilities include managing the complete accounting cycle for a group of companies, emphasizing financial reporting.\nKEY RESPONSIBILITIES:\nSupervise and guarantee the precision of the entire accounting process using NetSuite and additional systems.\nMentor staff involved in accounting entries, ensuring understanding of operations and communication with department leaders to maintain record-keeping and reporting standards.\nManage NetSuite's integration with other software (manufacturing, HRIS, POS, scheduling), ensuring correct and efficient functionality.\nEnsure compliance with all tax authorities.\nOversee cash handling and transaction procedures.\nManage banking and treasury duties, including monthly reconciliations and loan management.\nAdminister the standard cost system, monitor inventory and COGS, and provide analysis on product lines, margins, and variances.\nSupervise all General Ledger activities.\nReview the trial balance for accuracy.\nRegularly reconcile inter-company accounts and activities.\nProduce and verify the accuracy of monthly financial statements (P/L, B/S, CFS) and various management reports.\nGenerate consolidated financial statements and forecast tax implications.\nAim for a 5-day close period.\nPrepare monthly summaries on expenses, profitability, and trends.\nSupport the CFO in reviewing expenses and bookkeeping practices.\nAct as a NetSuite Administrator.\nProvide assistance to team members as needed.\nLiaise with department heads to ensure proper transaction recording.\nMaintain compliance with all business records, including contracts and equipment.\nAdhere to safety and security protocols.\nPerform additional duties as necessary to meet the evolving needs of the company.\nCORE COMPETENCIES:\nBusiness Acumen: Understanding of job specifics, policies, and technology, with expertise and proficiency in related skills.\nDedication: Commitment to completing tasks and willingness to invest necessary time.\nSafety & Security: Compliance with safety standards and promotion of a secure environment.\nTeamwork: Collaborative and efficient in achieving team goals.\nCommunication: Clear, respectful, and effective interaction with all levels.\nInitiative: Proactive in contributing ideas and solving problems.\nAdaptability & Planning: Ability to adjust to new tasks and manage time effectively.\nService Orientation: Customer-focused with a sense of urgency in service delivery.\nQUALIFICATIONS:\nRequired NetSuite experience and 7+ years in accounting.\nUndergraduate degree in accounting or a related field.\nCPA preferred.\nStrong analytical, communication, and problem-solving skills.\nProfessionalism, independence, and confidentiality are crucial.\nBilingual (Spanish) abilities and Food Handler Certification are advantageous.\nPhysical and Work Environment:\nThe role involves regular reaching, lifting, and moving up to 40 pounds. The work environment typically has a soft to moderate noise level.\nJob Type: Full-time\nPay: $120,000.00 - $160,000.00 per year\nBenefits:\n401(k)\n401(k) matching\nDental insurance\nHealth insurance\nLife insurance\nPaid time off\nVision insurance\nPhysical Setting:\nOffice\nSchedule:\nMonday to Friday\nSupplemental Pay:\nBonus opportunities\nWork Location: In person","company":"Mde Global","rawCompany":"mde global","city":"Elgin","state":"TX","isRemote":false,"isActive":false,"createdAt":"2026-08-11T14:31:16.519Z","occupations":[{"code":"13-2011.00","title":"Accountants and Auditors","slug":"accountants-and-auditors"},{"code":"11-3031.01","title":"Treasurers and Controllers","slug":"treasurers-and-controllers"},{"code":"43-3031.00","title":"Bookkeeping, Accounting, and Auditing Clerks","slug":"bookkeeping-accounting-and-auditing-clerks"}],"industries":[{"code":"541219","title":"Other Accounting Services","slug":"other-accounting-services"},{"code":"541512","title":"Computer Systems Design Services","slug":"computer-systems-design-services"},{"code":"541511","title":"Custom Computer Programming Services","slug":"custom-computer-programming-services"}],"jobPosting":{"@context":"https://schema.org","@type":"JobPosting","title":"Controller","description":"SUMMARY:\nThis role requires a candidate capable of fulfilling each critical function effectively. The outlined requirements reflect the necessary knowledge, skills, abilities, physical demands, and work environment for the role, not an exhaustive list. Accommodations may be provided for those with disabilities to perform crucial tasks.\nResponsibilities include managing the complete accounting cycle for a group of companies, emphasizing financial reporting.\nKEY RESPONSIBILITIES:\nSupervise and guarantee the precision of the entire accounting process using NetSuite and additional systems.\nMentor staff involved in accounting entries, ensuring understanding of operations and communication with department leaders to maintain record-keeping and reporting standards.\nManage NetSuite's integration with other software (manufacturing, HRIS, POS, scheduling), ensuring correct and efficient functionality.\nEnsure compliance with all tax authorities.\nOversee cash handling and transaction procedures.\nManage banking and treasury duties, including monthly reconciliations and loan management.\nAdminister the standard cost system, monitor inventory and COGS, and provide analysis on product lines, margins, and variances.\nSupervise all General Ledger activities.\nReview the trial balance for accuracy.\nRegularly reconcile inter-company accounts and activities.\nProduce and verify the accuracy of monthly financial statements (P/L, B/S, CFS) and various management reports.\nGenerate consolidated financial statements and forecast tax implications.\nAim for a 5-day close period.\nPrepare monthly summaries on expenses, profitability, and trends.\nSupport the CFO in reviewing expenses and bookkeeping practices.\nAct as a NetSuite Administrator.\nProvide assistance to team members as needed.\nLiaise with department heads to ensure proper transaction recording.\nMaintain compliance with all business records, including contracts and equipment.\nAdhere to safety and security protocols.\nPerform additional duties as necessary to meet the evolving needs of the company.\nCORE COMPETENCIES:\nBusiness Acumen: Understanding of job specifics, policies, and technology, with expertise and proficiency in related skills.\nDedication: Commitment to completing tasks and willingness to invest necessary time.\nSafety & Security: Compliance with safety standards and promotion of a secure environment.\nTeamwork: Collaborative and efficient in achieving team goals.\nCommunication: Clear, respectful, and effective interaction with all levels.\nInitiative: Proactive in contributing ideas and solving problems.\nAdaptability & Planning: Ability to adjust to new tasks and manage time effectively.\nService Orientation: Customer-focused with a sense of urgency in service delivery.\nQUALIFICATIONS:\nRequired NetSuite experience and 7+ years in accounting.\nUndergraduate degree in accounting or a related field.\nCPA preferred.\nStrong analytical, communication, and problem-solving skills.\nProfessionalism, independence, and confidentiality are crucial.\nBilingual (Spanish) abilities and Food Handler Certification are advantageous.\nPhysical and Work Environment:\nThe role involves regular reaching, lifting, and moving up to 40 pounds. The work environment typically has a soft to moderate noise level.\nJob Type: Full-time\nPay: $120,000.00 - $160,000.00 per year\nBenefits:\n401(k)\n401(k) matching\nDental insurance\nHealth insurance\nLife insurance\nPaid time off\nVision insurance\nPhysical Setting:\nOffice\nSchedule:\nMonday to Friday\nSupplemental Pay:\nBonus opportunities\nWork Location: In person","datePosted":"2026-08-11T14:31:16.519Z","dateModified":"2026-08-11T14:31:16.519Z","hiringOrganization":{"@type":"Organization","name":"Mde Global","sameAs":"https://jobsearcher.com"},"jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"Elgin","addressRegion":"TX","addressCountry":"US"}},"identifier":{"@type":"PropertyValue","name":"JobSearcher","value":"9b7fecac00bd9a21a3bff29d"},"url":"https://jobsearcher.com/jobs/9b7fecac00bd9a21a3bff29d"}}