About the job #689 - Corporate Controller
Job opportunities only available for Latin America residents.
Requirements
- B2 English Level or higher.
- +5 years of experience in Finance/Accounting/Regulatory proven within the Financial industry in Supervision/Manager roles.
- Ensure the accuracy and validity of line of business general ledger. accounts, including adherence to the firmwide General Ledger.
- Reconciliation & Substantiation (GLRS) standards.
- Ensure adherence to P&L and Balance Sheet controls owned by Financial Control, including identifying and implementing opportunities for efficiency.
- Analyze, communicate, and resolve material variances between the general ledger and upstream systems, as defined by line of business.
- Ability to manage exposure to each line of business.
- Advanced Excel and PowerPoint skills required.
- SAP experience it's a plus.
- Innovation tools command is appreciated (e.g., Alteryx, Xceptor).
- Bachelors degree in Accounting/CPA required, Master in Finance is a plus.
Job Responsibilities
- Advise global accounting staff and other teams on the handling of non-routine transactions.
- Financial Reporting: oversee monthly, quarterly, and year-end close process including global and regional financial consolidations
- Develop, implement and maintain financial accounting controls while continuously improving the accounting processes
Ensure compliance with relevant accounting standards and regulations.
Provide timely and accurate financial reports and analysis to senior management.
Manage the timely issuance of monthly financial package and the annual audited financial statements
Maintain the chart of accounts reporting integrity and standards to meet the reporting needs of the business
Coordinate and manage the annual audit process and bank examination.
Ensure compliance with tax regulations and filings
Develop, implement and maintain internal controls to safeguard company assets.
Conduct financial analysis to support strategic initiatives as requested
- Provide insights and recommendations for improving financial performance.
- Cash Flow Management: monitor and manage cash flow to ensure operational needs are met.
Implement strategies to optimize working capital and liquidity.
Assess potential business opportunities and support client contract review and negotiation
Manage business property and casualty insurance programs including annual renewal and coverage requirements
- Become a well-versed user of the companys proprietary operating system
What do we offer?
- Type of contract: Independent Contractor with Venon Solutions LLC
- Contract duration: Long-term
- Benefits: 2 weeks of PTO (paid time off)
- Holidays: from the North American calendar
Working hours: full-time EST, fully committed.