Financial Controller

Prestige Wellness

New York (NY)

On-site

USD 140,000 - 230,000

Full time

18 hours ago
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Job summary

Prestige Wellness, headquartered in NYC, is seeking a hands-on Controller to bring structure and accountability to our financial operations. You will own core accounting processes while partnering with leadership to improve cash flow management, payroll reliability, and financial controls.

This role requires leading budgeting, forecasting, and month-end close, mentoring the accounting team, and ensuring accurate financial reporting to guide executive decisions as the company grows.

Qualifications

  • 6-10 years of accounting/finance experience.
  • Experience with full-cycle accounting and month-end close.
  • Exposure to cash flow management and payroll processes.
  • Experience in small to mid-sized or growth-stage companies.
  • Strong attention to detail and ownership mindset.

Responsibilities

  • Own the company's cash flow management strategy, including daily liquidity management, weekly forecasting, and long-range cash planning.
  • Develop rolling cash flow forecasts and provide recommendations regarding spending priorities, capital allocation, and risk mitigation.
  • Provide executive leadership with visibility into cash position, future obligations, and financial risks.
  • Lead annual budgeting, forecasting, and financial planning processes while ensuring the company operates within approved budgets.
  • Analyze financial performance and provide recommendations to improve profitability, operational efficiency, and cash preservation.
  • Evaluate financing needs and support lending relationships, financing initiatives, and capital planning.
  • Supervise, mentor, and develop the accounting team, establishing clear standards for accountability and performance.
  • Ensure the ERP system remains accurate, current, and capable of supporting reliable financial reporting and executive decision-making.
  • Maintain ownership of month-end close, general ledger integrity, reconciliations, and financial reporting.
  • Strengthen internal controls, accounting processes, and financial governance to support company growth.
  • Serve as the primary owner of investor and leadership financial reporting requests, ensuring timely and accurate delivery.
  • Partner with HR, Operations, and Project Management to improve planning, reporting, and financial discipline across the organization.

Job description

Prestige Wellness Group is a leader in luxury wellness solutions, designing and delivering award-winning thermal and spa environments for high-end residential and five star commercial spaces. Headquartered in NYC, we are growing quickly and strengthening our internal operations to support that growth.

About the Role

We are seeking a hands-on Controller to bring structure, accountability, and visibility to our financial operations. This role will own core accounting processes while partnering with leadership to improve cash flow management, payroll reliability, and financial controls. This is a roll-up-your-sleeves role in a developing finance function.

What You'll Do
  • Own the company's cash flow management strategy, including daily liquidity management, weekly forecasting, and long-range cash planning.
  • Develop rolling cash flow forecasts and provide recommendations regarding spending priorities, capital allocation, and risk mitigation.
  • Provide executive leadership with visibility into cash position, future obligations, and financial risks.
  • Lead annual budgeting, forecasting, and financial planning processes while ensuring the company operates within approved budgets.
  • Analyze financial performance and provide recommendations to improve profitability, operational efficiency, and cash preservation.
  • Evaluate financing needs and support lending relationships, financing initiatives, and capital planning.
  • Supervise, mentor, and develop the accounting team, establishing clear standards for accountability and performance.
  • Ensure the ERP system remains accurate, current, and capable of supporting reliable financial reporting and executive decision-making.
  • Maintain ownership of month-end close, general ledger integrity, reconciliations, and financial reporting.
  • Strengthen internal controls, accounting processes, and financial governance to support company growth.
  • Serve as the primary owner of investor and leadership financial reporting requests, ensuring timely and accurate delivery.
  • Partner with HR, Operations, and Project Management to improve planning, reporting, and financial discipline across the organization.
What We’re Looking For
Required:
  • 6-10 years of accounting/finance experience
  • Experience with full-cycle accounting and month-end close
  • Exposure to cash flow management and payroll processes
  • Experience in small to mid-sized or growth-stage companies
  • Strong attention to detail and ownership mindset
Preferred:
  • Experience in a resource-constrained or fast-changing environment
  • Familiarity with commission structures and variable compensation
  • Experience improving financial processes and controls
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