Controller

Agility DigitalLehi, UT

About The Position

The Controller is a hands-on accounting and finance leader responsible for the day-to-day integrity of Agility's core financial operations. This role owns the full accounting cycle, including accounts payable, accounts receivable, commissions, payroll coordination, and monthly close, ensuring accuracy, timeliness, and GAAP compliance across all financial processes. This role partners closely with the Director of Finance and CFO to ensure reliable transactional finance operations and translate that into clear financial reporting. The Controller is in the details: reconciling balances, resolving discrepancies, managing cash flow visibility, and strengthening financial discipline across the organization.

Requirements

  • 4-6 years of progressive accounting experience, including hands-on ownership of core financial operations
  • CPA or actively pursuing CPA certification
  • Strong understanding of GAAP and financial reporting
  • Experience in a VC-backed or growth-stage company preferred
  • Practical skills in financial systems, reconciliations, and close management
  • Detail-oriented with strong organizational and communication skills

Nice To Haves

  • CPA (active)
  • Experience in professional services, agency, or tech-enabled services business models
  • Familiarity with marketing technology, SaaS, or hybrid recurring revenue models
  • Experience with modern accounting tools (NetSuite, QuickBooks, or similar)

Responsibilities

  • Own the full monthly close process, ensuring GAAP-compliant financial statements are delivered accurately and on schedule
  • Manage accounts payable, accounts receivable, commissions, and payroll coordination
  • Perform and review balance sheet reconciliations and resolve discrepancies promptly
  • Coordinate audits, tax compliance, and external advisors
  • Design and maintain internal controls appropriate for a VC-backed, scaling organization
  • Ensure accounting operations and reporting are GAAP-compliant and completed accurately
  • Manage cash flow and working capital execution, including payment timing, collections, and visibility into near-term liquidity
  • Support financial planning and analysis by providing accurate underlying data
  • Partner with sales and delivery leaders to ensure deal structures are captured correctly
  • Evaluate and implement accounting systems and tools to support growth
  • Help establish scalable processes, policies, and documentation that support accuracy without unnecessary complexity
  • Provide direction and oversight to in-house AP and AR staff, ensuring priorities are clear and issues are resolved efficiently
  • Coordinate effectively with outsourced bookkeeping support to ensure consistency, accountability, and clean handoffs
  • Elevate financial literacy across the organization through clear communication, responsiveness, and partnership

Benefits

  • Competitive base salary
  • Performance-based bonus
  • Comprehensive benefits package
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