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Corporate Controller 11750-8

Location : Cleveland, TN
Job Type : Direct
Hours : Full Time
Required Years of Experience : 7 plus years of experience
Required Education : Accounting or Finance Degree, CPA; MBA or other graduate program desired; other accreditations a plus
Travel : No
Relocation : No
Job Industry : Manufacturing
Job Category : Accounting/Auditing

Job Description :
Our client has a great opportunity to become a leader in the Accounting Department as a Corporate Controller. Reporting to the CFO, this person will be part of a team that creates and implements policies and procedures to identify, resolve and document accounting issues in addition to creating procedures to make the close and reporting processes more efficient and accurate.
Required Qualifications :

  • Develop new and maintain current technical accounting analyses, procedures, and policies.

  • Review major expenditures for capitalization or expense and maintain fixed asset details.

  • Support accountability and the meeting of deliverables

  • Utilize problem solving skills by taking initiative to identity and resolve problems.

  • Progressive preparation of reports and schedules for fiscal year-end audits

  • Implementation and adherence to accounting policies and procedures.

  • Specify and generate process improvements to streamline reporting and improve team efficiency.

  • Help further develop paperless initiatives in AR, AP, and Payroll.

  • Other duties when requested.

  • Guiding financial decisions by developing and monitoring policies and procedures.

  • Evaluating and enhancing financial controls and tax return procedures.

  • Analyzing and interpreting balance sheets, income statements, cash flow, and liabilities.

  • Performing internal audits and financial risk assessments, as well as facilitating intervention strategies.

  • Preparing annual budgets, forecasts, and reports, as well as reviewing journal entries and account reconciliation.

  • Monitoring closing processes, billing, invoicing, expenses, reimbursements, and payroll administration.

  • Maximizing returns on excess cash balances and improving closing and reporting cycles.

  • Coordinating and recording investments and maintaining fixed asset records.

  • Overseeing financial and accounting staff and analyzing profit center performance metrics.

  • Documenting processes and ensuring compliance with financial management and accounting regulations.

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