Financial Controller

Phoenix SystemsAlpharetta, GA
just now$90,000 - $115,000Onsite

About The Position

The Financial Controller is responsible for overseeing all aspects of the company's financial operations. This role involves managing financial reporting, budgeting, forecasting, risk management, and ensuring compliance with accounting standards and regulations. The Financial Controller will play a critical role in providing financial insights and supporting strategic decision-making.

Requirements

  • Bachelor's degree with major in accounting or finance
  • CPA certification (or actively pursuing it)
  • Minimum 5 years of experience in accounting or finance
  • Strong analytical and problem-solving skills
  • Excellent active listening, negotiation, communication, and presentation skills
  • Proficiency in accounting software (e.g., QuickBooks, Sage, SAP, Oracle)
  • Knowledge of financial regulations and accounting standards (GAAP, IFRS)
  • Experience with financial modeling, planning, budgeting, and forecasting
  • Knowledge of data analytics and business intelligence tools
  • Ability to work under pressure and meet deadlines
  • Demonstrate honesty, integrity, good judgment, leadership, technical aptitude, persistence, flexibility, transparency, proactive approach, and dedicated work ethic

Responsibilities

  • Financial Reporting: Prepare and analyze financial statements (income statements, balance sheets, cash flow statements) to provide insights into the company's financial performance.
  • Month end close: Manage corporate G/L including journal entries, amortizations, and reconciliations. Analyze results to Budget/Forecast, distribute intercompany charges, and ensure intercompany balancing between divisions.
  • Reporting: Produce and distribute daily, weekly, monthly, quarterly and annual financial and operational reports as needed; including, but not limited to, core financial statements, Profit and Loss statements, and cash reports and forecasts. Assist with analysis and interpretation of results.
  • Budgeting and Forecasting: Develop and manage annual budgets, forecast future financial trends, and monitor performance against financial goals. Create and implement strategies for business growth.
  • Financial Analysis: Analyze financial data to identify trends, assess risks, and make informed business decisions. Evaluate and improve operational and financial performance
  • Risk Management: Implement strategies to mitigate financial risks and ensure compliance with regulatory requirements.
  • Internal Controls: Establish and maintain strong internal controls to safeguard assets, prevent fraud, and ensure accurate financial reporting.
  • Tax Compliance: Oversee tax planning and compliance, including the preparation and filing of corporate tax returns. Work with accounting team on any additional items.
  • Cash Flow Management: Monitor cash flow, manage working capital, and ensure adequate liquidity.
  • Financial Systems: Select, implement, and maintain financial software systems to support efficient operations.
  • Perform other duties as assigned

Benefits

  • Paid Time Off Program - Start accruing PTO your first week!
  • Eight Paid Company Designated Holidays
  • 401(k) w/company match
  • Health, Dental and Vision Insurance options that start the 1st of the month after 60 days of employment
  • Short Term Disability Options
  • Long Term Disability Options
  • Employee Assistance Program
  • Life Insurance Options
  • Employee Discount
  • Free Alarm Monitoring
  • Positive work culture with opportunities for advancement and growth
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