Assistant Controller

Tennessee Aquarium•Chattanooga, TN
•Onsite

About The Position

At the Tennessee Aquarium, we strive to connect people with nature and empower them to make informed decisions about water and wildlife. We are passionate about our values, which include respect for conservation, a mindset of lifelong learning, and a collaborative, learning-based, respectful work environment. The Assistant Controller supports the management and daily operations of the Tennessee Aquarium’s Finance Department. This position assists with key accounting functions, including accounts payable, accounts receivable, payroll, month-end procedures, financial reporting, account reconciliations, budgeting, required governmental filings, and the annual financial statement audit. The Assistant Controller helps ensure financial information is accurately compiled, maintained, and reported to support the financial operations of the organization.

Requirements

  • Bachelor’s degree in accounting.
  • Minimum of three years of related accounting or finance experience.
  • Working knowledge of generally accepted accounting principles.
  • Strong organizational skills and attention to detail.
  • Ability to compile, review, and organize financial data from multiple systems and sources.
  • Effective written and verbal communication skills and the ability to work collaboratively with management and other staff throughout the Aquarium.
  • Strong computer skills, including proficiency with Microsoft Office applications and accounting software.

Nice To Haves

  • Experience working in a non-profit environment preferred.
  • experience with Oracle NetSuite preferred.

Responsibilities

  • Assists with the direction and coordination of daily Finance Department activities.
  • Supports accounts payable and accounts receivable processes and related financial activities.
  • Assists with payroll-related financial processes and month-end procedures.
  • Compiles and imports financial information from software systems used for ticketing, retail, payroll, and online banking into the accounting system.
  • Assists with the preparation of monthly financial reports reflecting the financial position and activities of the organization.
  • Performs regular reconciliations of designated general ledger accounts, including monthly bank reconciliations as well as other statement of financial position accounts.
  • Assists with the preparation of annual operating, benefits, and capital budgets in collaboration with management.
  • Assists with the preparation and completion of required federal, state, and local government filings.
  • Supports the annual financial statement audit by compiling and providing requested financial information, reports, and supporting documentation.
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