Description:
The Controller will play a key role in supporting daily office operations with a strong emphasis on financial tracking, reporting, and coordination. This position requires strong organizational skills, attention to detail, and the ability to work closely with management. This is not a remote position.
Requirements:
- Perform accurate and timely month-end closing entries so as to produce and analyze monthly financial statements
- Prepare bank reconciliations and maintain general ledger
- Support account management and maintain organized financial documentation
- Help prepare and update cash flow projections
- Manage with payroll processing and related documentation
- Prepare all accrual and month-end closing journal entries
- Supervise accounts payable and accounts receivable functions
- Attend and contribute to weekly financial review meetings
- Assist in preparation and tracking of Work In Progress (WIP) reports/sheets
- Maintain organized records and ensure compliance with company procedures
- Provide general administrative support to the office and management team