Corporate Controller

Checkers Drive-In Restaurants, Inc.Tampa, FL
Hybrid

About The Position

At Checkers & Rally’s we make a difference in people’s lives by serving our Franchisees, Teams, and Guests. Reporting to the CFO, the Controller position is accountable for the accounting operations of the company, to include the production of periodic financial reports, maintenance of an adequate system of accounting records, and a comprehensive set of controls and budgets designed to mitigate risk, enhance the accuracy of the company's reported financial results, and ensure that reported results comply with generally accepted accounting principles.

Requirements

  • Strong communication skills that require impactful interaction with a variety of internal and external stakeholders such as: Private Equity Partners, auditors, board of directors, external legal counsel, government agencies and rating agencies
  • Excellent leadership skills with the ability to engage others and establish rapport
  • Ability to work collaboratively and independently
  • Commitment to our core values of integrity, service, excellence, and courage to be bold
  • High energy to keep up with our fast-paced environment
  • Demonstrates flexibility by reprioritizing quickly to align with changing business needs
  • Bachelor’s degree required
  • 10-15 years minimum of relevant experience
  • The individual must live in the Tampa area and is required to be in the Restaurant Support Center 3 days per week, at a minimum.
  • Ability to sit for prolonged periods in one location, which may be restricted to the employee’s workstation.

Nice To Haves

  • Certified Public Accountant designation
  • Experience with SEC reporting and tax accounting
  • Experience with SAP

Responsibilities

  • Oversees the day-to-day accounting operations for multiple entities, including but not limited to cash management, treasury, payroll (outsourced), general ledger, month-end reporting, financial statements.
  • Manages, coaches, and provides leadership to the Accounting & Treasury teams including processing annual performance reviews and creating cross-training opportunities.
  • Manages outsourced tax and payroll functions.
  • Maintains and enhances the current internal control documentation system of accounting policies and procedures.
  • Updates and maintains written communications such as accounting memos, monthly and quarterly financial reports and statements that roll up to the executive suite.
  • Assists with the production of the annual budget and forecasts including daily cash flow management, 13-week cash flow forecasting and liquidity outlook.
  • Coordinates the provision of information to external auditors for the annual audit.
  • Monitors debt levels and compliance with debt covenants.
  • Complies with local, state, and federal government reporting requirements and tax filings.
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