Controller Job at W3Global Inc., Houston, TX

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  • W3Global Inc.
  • Houston, TX

Job Description

Job Description

Job Description

Type - In office, not virtual

Relocation - Not Available

Hours - Full time, M-F 8 to 5

Job Description

Client is a fast-growing company that is redefining its industry. We are looking for a seasoned Controller to join our team and help us define and improve our financial operation

The ideal candidate will have a deep understanding of accounting practices and SOPs, and GAAP processes. In this role, you will have a significant impact on the company's day-to-day operations and accounting workflow. You will work closely with the President and COO to develop and implement financial plans, analyze financial data, as well as clear and concise financial reporting to both internal and external stakeholders.

To be successful in this role, you must be a highly motivated and results-oriented individual with strong analytical and problem-solving skills. You must also be able to effectively communicate with both technical and non-technical audience

The ideal candidate will have the following qualification

• Bachelor's degree in accounting, finance, or a related field

• CPA and deep understanding of GAAP

• Experience with closing and consolidating multiple LLPs, including foreign operations.

• 10+ years of financial management experience

• Demonstrated knowledge of GAAP accounting principles.

• Proven track record of success in financial management, including budgeting forecasting, and analysis.

• Proven ability to develop SOPs and training material.

• Strong leadership skills with the ability to motivate, organize, and lead a team.

If you are a highly skilled and experienced Controller who is looking for a challenging and rewarding opportunity, we encourage you to apply. We offer a competitive salary and benefits package, as well as the opportunity to work with a talented and dedicate team.

Objectives of this Role

• Work with Operations team to accurately cost and cycle count inventory and production.

• Responsible, either directly or by managing staff or external partners for all cash management, and financial reporting.

• Ensure cash flow is compatible with company operations, by overseeing the day-to-day accounting, recording, reporting, and internal control activities of the organization.

• Lead the development and use of best-practice policies, practices, and tools that ensure a well-controlled yet flexible organization with strong fiscal management, cross team communications and workflow.

• Comply with federal, state, and local financial requirements Daily and Monthly Responsibilities

• Manage various US LLCs and foreign entities, produce individual and consolidated P&L, Balance Sheet and Cash Flow statements.

• Be the primary contact with Bank lending partners.

• Work with the senior management to efficiently develop KPIs.

• Monitor financial performance, establish corrective measures as needed, and prepare detailed reports, both current and forecasting for the management team.

• Oversee various Insurance policies.

• Ensure compliance with all applicable GAAP and federal, state, and local tax regulations.

Skills and Qualifications

• Degree in accounting, business accounting, or finance Required

• CPA Required

• 10+ years' experience in accounting and financial management Required

• Leadership skills and personal integrity Required

• Exceptional verbal, written communication, and presentation skills Required

• Understanding of accounting, regulatory issues

Required Benefits

• Health Insurance, up to 100% paid by the Company

• Dental Insurance

• Vision Insurance

• AFLAC Supplemental Insurance

• PTO

• Sick Time

• Paid Holidays

• 401(k)

• Expense Account

• Cell phone, Laptop, & other items as needed

Job Tags

Holiday work, Full time, Local area, Remote job, Relocation, Flexible hours,

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