Controller

TPG MarinasNoank, CT
10hOnsite

About The Position

The Marina Controller is responsible for all accounting functions and preparation of financial statements. The ideal candidate has a strong background in financial service operations and accounting processes, with a focus on maintaining financial accuracy, compliance, and confidentiality. The Marina Controller reports to the Director of Finance. This positiong is based at our Noank Shipyard location in Groton, CT. TPG Marinas is a nationwide owner and operator of marina businesses and other waterfront real estate. We have evolved our approach to marina management through over 30 years in the hotel and hospitality industry. Whether we are an investor, owner or third-party operator, TPG is committed to bringing success to capital partners as entrusted stewards of marina business and waterfront real estate assets.

Requirements

  • 7+ years minimum accounting experience.
  • Bachelor's degree in accounting or related field.
  • Proficiency with QuickBooks required.
  • Experience in the financial services industry.
  • Solid knowledge of GAAP accounting.
  • Experience with mid-size company, multiple companies, and multistate operators.
  • Proficiency with Microsoft Office applications including advanced Excel skills, including the ability to design, develop and utilize effective spreadsheets and financial models.
  • Excellent accounting skills with high-level of accuracy.
  • Abiliity to work on-site in Groton, CT and commute to our Cranston, RI corporate location for preliminary onboarding and training.
  • All candidates must be ready, willing, and able to work a fully flexible work schedule that may include days, nights, weekends and holidays to meet the fluctuating demands.

Nice To Haves

  • CPA certification preferred
  • Experience with Paychex and Paycor desirable.
  • Payroll experience desirable.
  • Experience in multi-entity consolidation and reporting.

Responsibilities

  • All Accounting Functions.
  • Maintain General Ledger.
  • Make Journal Entries as needed.
  • Manage and develop the accounting team, including external accounting resources and property-level accounting teams
  • Prepare the monthly Financial Reporting package.
  • Review Bank Reconciliations.
  • Make appropriate monthly accrual entries.
  • Monthly preparation of balance sheet and income statement.
  • Review of Intercompany accounts and ensure they balance.
  • Assist with review and processing of daily banking as required.
  • Prepare 1099's at year end.
  • Supervise and process employee 401(k) contributions.
  • Develop and refine internal controls around all accounting functions.
  • Coordination of accounting-related information requests from other Departments.
  • Preparation of specific financial information/analysis requested by company executives, as needed.
  • Assist external auditors and CPAs, as required.
  • Other duties as assigned.
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