Financial Controller

Co-Source Solutions

New York (NY)

Hybrid

USD 140,000 - 210,000

Full time

3 days ago
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Job summary

Co-Source Solutions seeks an Interim Controller for a client, with the role allowing remote or hybrid work. The ideal candidate will oversee day-to-day financial operations, ensure regulatory compliance, and manage internal controls while providing operational leadership and strategic oversight.

You will lead revenue recognition, billing, cash reconciliation, and robust month-end closes, collaborate with cross-functional teams, and mentor finance staff to support accurate financial performance

Qualifications

  • Bachelor's degree in Accounting or Finance is required.
  • 10+ years of experience in accounting or finance roles.
  • Experience leading finance operations and internal controls.

Responsibilities

  • Manage day-to-day company accounts.
  • Assist with financial planning.
  • Oversee budget forecasting and cash flow management.
  • Oversee revenue recognition and billing processes; ensure accurate GL coding.
  • Oversee bank reconciliations and cash balance controls to optimize liquidity.
  • Oversee month-end and quarter-end closes and maintain internal controls.
  • Lead or develop finance staff and collaborate with cross-functional teams.
  • Interpret complex financial data to support strategic planning and budgeting.

Skills

Operational leadership
Regulatory compliance
Internal controls
Revenue recognition
Billing processes
Cash reconciliation
Financial planning
Budget forecasting
Cash flow management
Month-end close

Education

Bachelor's degree in Accounting or Finance

Job description

We are seeking an Interim Controller for one of our clients. This role can be remote or hybrid. The ideal candidate will be responsible for overseeing the day to day financial operations, ensuring regulatory compliance, and managing internal controls. Requiring operational leadership, quality assurance, and strategic oversight as well asexpertise in revenue recognition, billing processes, and cash reconciliation

Responsibilities:

  • Manage day-to-day company accounts
  • Assist with financial planning
  • Oversee Budget forecasting and cash flow management
  • Oversee revenue recognition processes, managebilling operations, and ensure proper coding of invoices in the general ledger to reflect accurate financial performance.
  • Oversee bank reconciliations, manage cash flow forecasting, and maintain rigorous cash balance controls to optimize liquidity and mitigate financial risk
  • Oversee month-end and quarter-end closing, reconcile balance sheet accounts, and maintain robust internal controls
  • Manage competing demands, collaborate with cross-functional teams, and potentially lead or develop finance staff
  • Interpret complex financial data to formulate controls, analyze business lines, and support strategic planning and budget preparations

Qualifications:

  • Bachelor's degree in Accounting or Finance 10+ years experience
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