Controller

Robert Half
Published
March 18, 2021
Location
San Antonio, TX
Category
Job Type

Description

Ref ID: 04080-0011742539

Classification: Controller

Compensation: $120000.00 to $180000.00 yearly

A prominent services company is looking to grow its team by hiring a Controller through Robert Half Finance. In this leadership position, you will direct an accounting and clerical department. As the Controller, your tasks will include planning and directing all accounting operational functions, managing the accumulation and consolidation of financial information for internal and external financial statements, assessing accounting and internal control systems, and guiding departmental staff. This company offers a very competitive and comprehensive compensation and benefits package along with strong career growth. We are seeking an individual for this role who is able to motivate others by maintaining a positive professional attitude; exhibit integrity, reliability and leadership; and is capable of providing exceptional client services by managing self and others by responding with a sense of urgency, practicality and accountability. You will also be expected to make key decisions and be able to challenge, negotiate and influence the team. As part of the leadership team, you will be expected to lead the production of innovative ideas that are sound and progressive, to challenge the status quo, and to encourage creativity throughout your area of responsibility. Based in the San Antonio, Texas area, this opening for a Controller is a full-time position.

What you get to do every single day

- Collaborate with executive team and partners to make efficient and effective firm-wide operation possible

- Give financial reports to executive committee and partners each month

- Comfortable in taking on tasks beyond formal job responsibilities

- Oversee the activities of the finance department, such as accounts payable, billings & collections, and payroll

- Perform tasks associated with month-end and year-end close of income statement and balance sheet, account reconciliations & G/L analysis

- Assess, execute and streamline policies, procedures, controls and most methodologies

- Check deliverables of self and team to certify they meet client expectations

- Produce cash-flow reports, calculating cash needs at weekly and monthly intervals, and manage daily cash

- Manage the creation of the annual budget and forecasts and monitor them on a monthly basis

- Research, prepare and execute Finance Department initiatives such as software and systems implementation and other departmental or firm-wide improvements, as required

- Support punctual cash collection by managing the timing for monthly billing and other cash management techniques

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