Corporate Controller
Overview
In this role, you will lead global accounting, tax, treasury, and financial reporting, owning the monthly close and coordination of audits for domestic and international entities. You’ll guide cross-functional interactions to capture unknown or un-invoiced expenses, and drive process improvements in a fast-growing environment. You’ll shape financial controls, liquidity planning, and external reporting in alignment with US GAAP while partnering with the business to support growth and potential due diligence or M&A opportunities.
Compensation / Benefitshealthcarelife and disability coverage401K with company matchpaid sick and personal time offpaid parental leavebonus potential (30% of salary)
ResponsibilitiesLead Global Accounting teams (Revenue/AR, AP, Payroll) and resolve technical accounting queriesOversee month-end close, ensuring accuracy per US GAAP and completing balance sheet reconciliations and accrualsPrepare and present monthly financial statements and management accounting packageOversee tax and statutory compliance across international and domestic regulationsManage treasury and cash management, including liquidity planning and cash forecastingSupport due diligence and potential M&A activities and related equity eventsMaintain internal control environment and drive process improvementsCoordinate with auditors, tax advisors, and external vendors; liaise with cross-functional teamsLearn the business model and develop client-service orientation within financeImprove order-to-cash processes for compliance and efficiencyCollaborate with IT to ensure systems meet current and future needsBuild relationships across accounting and finance to support business needsEnsure valid expenses with proper approvals and robust documentationReview balance sheet schedules and reconciliationsAdapt to fast-growing environment and cover other duties as neededAssist in budgeting, forecasting, and external reporting with accuracyDevelop relationships with stakeholders to support strategic plansEstablish coordination for external debt activities and banking relationshipsPrepare for quarterly and annual audits and regulatory reporting
Key requirementsQualified CPA (or equivalent)Strong technical accounting background with ongoing developmentExperience in core finance areas including tax and treasuryUS GAAP expertise in a global, complex environmentProactive, detail-oriented, capable of resolving technical accounting issuesHands-on and strategic thinking with ability to operate at a detailed levelExposure to real estate is advantageousExperience with external audits and financial reportingAbility to work in a fast-changing, growth-focused cultureWillingness to support other areas when neededProactiveDetail-orientedCross-functional collaborationUS GAAPTax complianceTreasury and cash management