Corporate Controller

Delta360Baton Rouge, LA
Hybrid

About The Position

Delta360 is seeking an experienced, detail-oriented, and strategic accounting professional to join our team as Corporate Controller. This position is responsible for leading the corporate accounting function, including accounts payable and disbursements, treasury and cash management, tax reporting and compliance, customer credit, collections, financial planning and analysis (FP&A), financial reporting, and inventory accounting while supporting operational excellence, customer service, and company growth initiatives. This is an excellent opportunity to join a growing organization and contribute to a fast-paced, team-oriented environment supporting operational excellence and continued company growth.

Requirements

  • 10+ years of progressively responsible experience in a corporate accounting department, preferably as a Controller or Assistant Controller
  • Bachelor’s degree in Accounting or Finance required, or equivalent business experience of 10+ years
  • Active CPA license preferred but not required
  • Experience with ERP / accounting systems and advanced Microsoft Excel
  • Strong communication and organizational skills
  • Ability to manage multiple priorities and deadlines
  • High attention to detail and professionalism

Nice To Haves

  • Experience in the fuel, energy, distribution, or logistics industries
  • Prior experience implementing or improving accounting processes, systems, and internal controls
  • Experience supporting external audits and managing banking relationships across a multi-entity, multi-location organization

Responsibilities

  • Lead, develop, and manage a team of accounting and administrative professionals responsible for the day-to-day corporate accounting function
  • Maintain an adequate system of accounting records, internal controls, and budgets designed to mitigate risk and ensure reported results comply with generally accepted accounting principles (GAAP)
  • Issue accurate and timely monthly financial statements, and calculate and issue financial and operating metrics
  • Lead financial planning and analysis (FP&A), including production of annual budgets, forecasts, and projections, and report on significant budget variances
  • Provide financial analysis as needed, particularly for capital expenditures (CAPEX)
  • Monitor cash and available funds and report regularly to executive leadership; oversee treasury and cash management activities
  • Monitor debt levels and compliance with related covenants, and ensure all debt payments are made and accounted for timely and accurately
  • Oversee accounts payable and disbursements, ensuring vendor bills are paid accurately and on time and that new vendor accounts are properly set up
  • Oversee customer credit and collections, including credit evaluation and proper setup of new customer accounts
  • Oversee inventory accounting, ensuring inventory is accurately tracked, reconciled, and reported
  • Ensure compliance with all local, state, and federal government reporting requirements, and ensure all taxes are captured, filed, and paid accurately and timely
  • Maintain the chart of accounts and an orderly accounting filing system, and ensure all account reconciliations are completed timely and accurately
  • Coordinate with the Company’s external audit firm and banking relationships, providing needed information on a timely basis
  • Perform special projects and other duties as assigned

Benefits

  • Competitive benefits package
  • Opportunities for professional growth and development
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