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Senior Controller

Posted 2024-11-14

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💎 Seniority level: Senior, At least 3–4 years

📍 Location: Colombia, Argentina, Mexico, Brazil, Canada

🔍 Industry: ECommerce and distribution of security products

🏢 Company: RemotivateJobs

🗣️ Languages: English

⏳ Experience: At least 3–4 years

🪄 Skills: LeadershipData AnalysisPeople ManagementCross-functional Team LeadershipOperations ManagementStrategyFinancial ManagementData analysisCommunication SkillsAnalytical SkillsCollaborationMicrosoft ExcelProblem SolvingMicrosoft OfficeAccountingAttention to detailOrganizational skillsPresentation skillsTime ManagementWritten communicationMicrosoft Office Suite

Requirements:
  • Exceptional written and verbal communication skills in English.
  • At least 3–4 years in a senior financial position, such as Controller or Head of Finance, ideally within a high-growth environment.
  • Proven experience managing companies with annual revenues of $30M+, with eCommerce experience preferred.
  • Comprehensive expertise in general ledger and balance sheet oversight.
  • Advanced skills in financial planning, analysis, forecasting, and budgeting with a data-driven approach.
  • Mandatory ERP system expertise, familiarity with Odoo is beneficial but not required.
  • High tech-savvy, adept with extensive tech stacks, and proficient in remote work environments.
  • Excellent risk assessment skills, especially in regulatory compliance and sales tax management.
  • Expertise in cash flow management and working capital optimization, with a record of enhancing operational efficiency.
  • Proven success in identifying profit margin improvements and cost-reduction opportunities.
  • Experienced in capital raising and financial structuring, with a background in investor relations, debt, and equity financing.
  • Knowledgeable in tax optimization strategies, actively collaborating with advisors to minimize tax liabilities.
Responsibilities:
  • Develop and oversee the company’s financial strategy, ensuring alignment with long-term business goals.
  • Lead financial forecasting, budgeting, and performance analysis to provide actionable insights for decision-making.
  • Prepare and present accurate monthly, quarterly, and annual financial statements in compliance with US GAAP.
  • Manage cash flow, working capital, and capital structure to maintain operational efficiency and support growth.
  • Identify and manage financial risks, ensuring compliance with financial regulations, tax laws, and statutory requirements.
  • Lead initiatives to optimize costs, improve profit margins, and drive financial performance across all departments.
  • Conduct financial due diligence for potential mergers and acquisitions, overseeing integration efforts and financial alignment.
  • Implement and maintain financial systems, integrating technology solutions to streamline reporting and data management.
  • Collaborate with department heads to align financial strategies with operational goals and provide guidance on strategic initiatives.
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