Corporate Global Controller

Camin Cargo Control Inc.Pasadena, TX
6d

About The Position

The Global Corporate Controller works with all areas of the business to maintain accurate financial information, ensure strong systems are in place, and to create new processes for efficiency and enhancing the customer experience. Plan, direct, manage and control the full spectrum of accounting function. This includes instituting proper control measures that will enable the business to grow and provide insight into the company’s business performance.

Requirements

  • Bachelor's degree in accounting
  • Prior experience working as a Controller in mid-sized to larger organizations; PE backed companies preferred.
  • 2 plus years of experience working in a Global financial capacity, with LatAm and Europe preferred experience.
  • At least 5 years of supervisory experience.
  • Excellent computer skills; Excellent Excel Skills
  • Excellent communication, analytical, organizational and time management skills
  • Bilingual- Spanish/English highly desired

Responsibilities

  • Internal controls and processes
  • Liaise with external auditors, tax authorities and government board
  • Perform specific duties and functions specified in the delegated authorities and as may be assigned by Management
  • Analyze and recommend improvements in efficiency of various aspects of company operations internal and external benchmarks.
  • Conduct cost/profit analyses by brands/channels and basic evaluation, interpretation of company financial data
  • Timely submission of local, regional reports i.e., Management reports, etc.
  • Check and post Accounts payable transactions to General Ledger on weekly basis, and ensures Accounts Receivable and Inventory modules are interfaced to General Ledger Modules properly
  • Review AP, AR and Inventory audit schedules as prepare general ledger audit schedules.
  • Asset Control and Risk Management
  • Ensure assets of the company are properly safeguarded against misuse or loss thru regular monitoring, upkeep of maintenance & securing sufficient insurance coverage of tangible assets.
  • Assist with approval of account reconciliations prepared by staff and the timely resolution of reconciling items
  • Primary contact for external and internal audit preparation and liaison with all auditors
  • Ensure assets of the company are properly safeguarded against misuse or loss thru regular
  • Oversee tax compliance
  • Cash flow management – experience with the development and maintenance of a cash flow forecast
  • Monthly Reporting
  • Preparation of monthly board and quarterly board slides; ability to understand and speak to the information in detail
  • People management and development skills
  • Problem solving
  • Must be detail oriented and prepared to work with staff
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