Job Openings #689 - Corporate Controller

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.