Creative Financial Staffing
Creative Financial Staffing | Controller OH | cleveland, oh
Creative Financial Staffing, Cleveland, Ohio, United States,
Corporate Controller
About the Company
A large manufacturer of food products is looking for a driven financial leader. You will help guide them into an even more prosperous future. If this sounds like a challenge you would be interested in, this could be the role for you. Excellent benefits as well as bonus opportunities!
Responsibilities
Lead the company's monthly and quarterly reporting process, collaborating across teams to understand variance drivers and key risks and opportunities
Develop and maintain timely and accurate financial statements and reports
Handle all incoming and outgoing banking transactions on behalf of the company
Implement company policies regarding documentation and accounting of receipts and other financial information
Preparation of management reports, budget variance analysis, journal entries, accruals, account reconciliations, review of team members' work, and other ad hoc projects
Inventory cost analysis, reconciliation, bill of material costing maintenance and monthly journal entries
Act as project manager for financial audits and annual tax filings
Actively be involved in and oversee the current team responsible for all accounting operations, including A/R, A/P, G/L accounting, payroll, cash flow forecasting, etc.
Special ad hoc analyses including running scenario analysis to support key strategic decisions
Prepare and participate in monthly business reviews with finance and executive teams
Preferred Qualifications
Bachelor's degree in Finance or Accounting required, MBA preferred
A minimum of 10 years of professional experience required preferably in a manufacturing environment
Prior experience managing the treasury and accounting functions for a private equity backed organization.
Exceptional analytical, quantitative, and statistical skills
Strong financial modeling skills, along with understanding of financial reporting and cash flow information
Solid computer skills with proficiency in MS Excel and working with ERP/Financial System
Ability to work cooperatively and collaboratively with all levels of employees, management, and outside parties to maximize performance, creativity, problem solving, and results
Salary and Benefits
Salary range is $100,000 to $110,000
Work a hybrid schedule with the main office located in Cleveland
Bonus opportunities available
#controller #growth #software #accounting #finance #forecasting
About the Company
A large manufacturer of food products is looking for a driven financial leader. You will help guide them into an even more prosperous future. If this sounds like a challenge you would be interested in, this could be the role for you. Excellent benefits as well as bonus opportunities!
Responsibilities
Lead the company's monthly and quarterly reporting process, collaborating across teams to understand variance drivers and key risks and opportunities
Develop and maintain timely and accurate financial statements and reports
Handle all incoming and outgoing banking transactions on behalf of the company
Implement company policies regarding documentation and accounting of receipts and other financial information
Preparation of management reports, budget variance analysis, journal entries, accruals, account reconciliations, review of team members' work, and other ad hoc projects
Inventory cost analysis, reconciliation, bill of material costing maintenance and monthly journal entries
Act as project manager for financial audits and annual tax filings
Actively be involved in and oversee the current team responsible for all accounting operations, including A/R, A/P, G/L accounting, payroll, cash flow forecasting, etc.
Special ad hoc analyses including running scenario analysis to support key strategic decisions
Prepare and participate in monthly business reviews with finance and executive teams
Preferred Qualifications
Bachelor's degree in Finance or Accounting required, MBA preferred
A minimum of 10 years of professional experience required preferably in a manufacturing environment
Prior experience managing the treasury and accounting functions for a private equity backed organization.
Exceptional analytical, quantitative, and statistical skills
Strong financial modeling skills, along with understanding of financial reporting and cash flow information
Solid computer skills with proficiency in MS Excel and working with ERP/Financial System
Ability to work cooperatively and collaboratively with all levels of employees, management, and outside parties to maximize performance, creativity, problem solving, and results
Salary and Benefits
Salary range is $100,000 to $110,000
Work a hybrid schedule with the main office located in Cleveland
Bonus opportunities available
#controller #growth #software #accounting #finance #forecasting