{"schemaVersion":"jobsearcher.job.v1","id":"bb302bdf3152d7f52d573aac","url":"https://jobsearcher.com/jobs/bb302bdf3152d7f52d573aac","canonicalUrl":"https://jobsearcher.com/jobs/bb302bdf3152d7f52d573aac","title":"Controller","description":"We are waterworks manufacturer that is family owned and operated for 60+ years. Our customer base is nation wide and include Canada, Mexico and Puerto Rico.\nWe are looking for self driven candidates with a willingness to learn that are able to multi-task in an upbeat business team environment.\nDay to Day Job Responsibilities:\nMonthly budgeting & variance analysis\nMonthly PNLs, balance sheets, financial reporting & analysis for the CEO\nDaily Bank reconciliation and cash management\nMaking sure the payables are up to date and well within aging\nFollowing up the receivables. Making sure the dues are received within the time on Invoice\nTo ensure configuration of GL, cash flow, A/P, A/R, and payroll process\nTo manage accounting and month-end closing process\nGL accounting, daily bank reconciliations, financial management\nTo reconcile and analyze financial statements, bank statements, processed receivables/payables\nTo reconcile and verify bank transaction history, updated spreadsheet schedules, account balances\nTo prepare journal entries, test transactions and journal entries, provided detail support for balances\nOther accounting related tasks\nOther Duties & Responsibilities:\nPrepare month-end journal entries for financial statements\nPrepare monthly journal entries and account reconciliations\nPrepare monthly journal entries and bank reconciliations\nPreparing month-end journal entries\nPrepare journal entries and month end account reconciliations\nPrepare Corporate accounting journal entries and prepare monthly balance sheet reconciliations\nPrepare journal entries, accounting reconciliations and month-end close procedures\nImporting journal entries into accounting software\nJob Type: Full-time\nBenefits:\n401(k)\nDental insurance\nHealth insurance\nPaid time off\nVision insurance\nSchedule:\nMonday to Friday\nSupplemental Pay:\nBonus opportunities\nWork Location: In person","company":"Sip","rawCompany":"sip","city":"Houston","state":"TX","isRemote":false,"isActive":false,"createdAt":"2026-04-12T20:44:53.159Z","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":"221310","title":"Water Supply and Irrigation Systems","slug":"water-supply-and-irrigation-systems"},{"code":"541219","title":"Other Accounting Services","slug":"other-accounting-services"},{"code":"332913","title":"Plumbing Fixture Fitting and Trim Manufacturing","slug":"plumbing-fixture-fitting-and-trim-manufacturing"}],"jobPosting":{"@context":"https://schema.org","@type":"JobPosting","title":"Controller","description":"We are waterworks manufacturer that is family owned and operated for 60+ years. Our customer base is nation wide and include Canada, Mexico and Puerto Rico.\nWe are looking for self driven candidates with a willingness to learn that are able to multi-task in an upbeat business team environment.\nDay to Day Job Responsibilities:\nMonthly budgeting & variance analysis\nMonthly PNLs, balance sheets, financial reporting & analysis for the CEO\nDaily Bank reconciliation and cash management\nMaking sure the payables are up to date and well within aging\nFollowing up the receivables. Making sure the dues are received within the time on Invoice\nTo ensure configuration of GL, cash flow, A/P, A/R, and payroll process\nTo manage accounting and month-end closing process\nGL accounting, daily bank reconciliations, financial management\nTo reconcile and analyze financial statements, bank statements, processed receivables/payables\nTo reconcile and verify bank transaction history, updated spreadsheet schedules, account balances\nTo prepare journal entries, test transactions and journal entries, provided detail support for balances\nOther accounting related tasks\nOther Duties & Responsibilities:\nPrepare month-end journal entries for financial statements\nPrepare monthly journal entries and account reconciliations\nPrepare monthly journal entries and bank reconciliations\nPreparing month-end journal entries\nPrepare journal entries and month end account reconciliations\nPrepare Corporate accounting journal entries and prepare monthly balance sheet reconciliations\nPrepare journal entries, accounting reconciliations and month-end close procedures\nImporting journal entries into accounting software\nJob Type: Full-time\nBenefits:\n401(k)\nDental insurance\nHealth insurance\nPaid time off\nVision insurance\nSchedule:\nMonday to Friday\nSupplemental Pay:\nBonus opportunities\nWork Location: In person","datePosted":"2026-04-12T20:44:53.159Z","dateModified":"2026-04-12T20:44:53.159Z","hiringOrganization":{"@type":"Organization","name":"Sip","sameAs":"https://jobsearcher.com"},"jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"Houston","addressRegion":"TX","addressCountry":"US"}},"identifier":{"@type":"PropertyValue","name":"JobSearcher","value":"bb302bdf3152d7f52d573aac"},"url":"https://jobsearcher.com/jobs/bb302bdf3152d7f52d573aac"}}