Financial Controller

Wireless LogicHouston, TX
5d

About The Position

The Wireless Logic Group is seeking an experienced Financial Controller based in the United States to lead the day-to-day financial operations of our US entity. This role will be responsible for managing the local finance function while ensuring accurate and timely financial reporting to the Wireless Logic Group Finance team. The Financial Controller will play a key role in maintaining strong financial governance, delivering high-quality reporting, and supporting the business with financial insight. Working closely with Group Finance, the successful candidate will ensure compliance with group reporting requirements while maintaining robust local financial controls

Requirements

  • Proven experience in a Financial Controller, Senior Accountant, or similar finance leadership role.
  • Strong knowledge of US GAAP and IFRS.
  • Experience working in a multi-national organisation with Group reporting requirements.
  • Strong analytical skills and attention to detail.
  • Excellent communication skills with the ability to work effectively with Group Finance and cross-functional teams.
  • Ability to manage and improve financial processes and controls.
  • A proactive, hands-on approach with strong organisational skills.

Responsibilities

  • Prepare and deliver accurate monthly, quarterly, and annual financial reporting to the Wireless Logic Group Finance team.
  • Ensure financial results are reported in line with Group reporting standards and timelines.
  • Support the preparation of management accounts, financial analysis, and performance reporting.
  • Act as the primary finance contact between the US entity and the Group Finance team.
  • Oversee all aspects of the local accounting function, ensuring compliance with US GAAP and Group accounting policies which are based on IFRS.
  • Manage the month-end, quarter-end, and year-end close processes.
  • Maintain strong financial controls, policies, and procedures across the finance function.
  • Support internal and external audit processes.
  • Lead the preparation of annual budgets and periodic forecasts.
  • Monitor financial performance against budget and provide variance analysis.
  • Support leadership with financial insight to inform operational and commercial decisions.
  • Monitor cash flow, working capital, and liquidity planning.
  • Manage local banking relationships and oversee payment processes.
  • Work closely with the Group Treasury team to support cash reporting and treasury activities.
  • Ensure compliance with US tax and regulatory requirements.
  • Coordinate with external advisors on tax filings and statutory obligations.
  • Maintain accurate financial records and documentation in line with corporate governance standards.
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