Operations Controller

Cash Depot

Green Bay (WI)

On-site

USD 150,000 - 210,000

Full time

4 days ago
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Benefits offered by this job

Profit Sharing Bonus Program
Paid training and professional develop
Company-paid Life Insurance
Company-paid Short-Term Disability (ST
401(k) with company match
Paid time off and paid holidays
Stable, growing organization with long

Job summary

Cash Depot, a nationwide leader in ATM management and financial transaction processing, seeks a Corporate Controller to lead accounting and treasury across the organization. This role reports to the CFO and guides a growing team of 15+ professionals, delivering accurate financial reporting and driving automation and strong controls.

The ideal candidate partners with executive leadership to shape strategic planning, manage budgeting and forecasting, ensure US GAAP compliance, and drive profitable

Qualifications

  • Bachelor's degree in Accounting, Finance, or related field.
  • 10+ years of progressive finance or accounting experience.
  • Previous leadership and direct management experience.
  • Proficient with MS Office, especially Excel.
  • CPA and/or MBA preferred.

Responsibilities

  • Oversee financial statements and management reporting.
  • Lead budgeting, forecasting, and treasury activities.
  • Maintain internal controls and ensure US GAAP compliance.
  • Develop and coach a 15+ member accounting/treasury team.
  • Coordinate annual external audits and tax planning.

Skills

Leadership
Financial analysis
Treasury management
US GAAP
Communication

Education

Bachelor's in accounting

Tools

Excel
ERP systems

Job description

At Cash Depot, you're not just joining a company, you're becoming part of a family.

As a nationwide leader in ATM management and financial transaction processing, we've built our reputation on exceptional service, strong relationships, and a commitment to helping our employees grow alongside our business. The Corporate Controller will play a key leadership role in supporting our continued growth and profitability while helping shape the future of the organization.

When you join Cash Depot, you're stepping into a workplace where your expertise is valued, your contributions are recognized, and your leadership can make a meaningful impact. We believe in empowering our team members to drive innovation, improve processes, and help shape the future of our organization while maintaining the family-oriented culture that has contributed to our success.

If you're ready to join a growing organization where your passion for finance, leadership, and continuous improvement can truly make a difference, we'd love to hear from you.

What We Offer
  • Profit Sharing Bonus Program
  • Paid training and professional development
  • Company-paid Life Insurance
  • Company-paid Short-Term Disability (STD)
  • 401(k) with company match
  • Paid time off and paid holidays
  • Stable, growing organization with long-term career potential
Position Summary

The Corporate Controller serves as the primary financial leader for Cash Depot and related entities, overseeing all Accounting and Treasury functions across the organization. This role leads a growing team of 15+ accounting and treasury professionals while ensuring the timely delivery of accurate financial reporting and treasury management information to senior leadership.

Reporting directly to the CFO, the Corporate Controller partners closely with executive leadership, including the CEO and CFO, to support strategic planning, drive profitable growth, strengthen financial controls, and lead automation and continuous improvement initiatives throughout the organization.

The ideal candidate is a strong financial leader who can balance strategic decision-making with hands-on execution while developing high-performing teams and maintaining a deep understanding of the company's operations and financial systems.

Specific Responsibilities
  • Oversee the preparation, analysis, and publication of financial statements and management reports.
  • Ensure financial information is complete, accurate, and compliant with reporting standards and internal policies.
  • Maintain deep knowledge of US GAAP, accounting best practices, and applicable IRS regulations.
  • Lead the annual budgeting process and support ongoing forecasting activities.
  • Monitor financial performance and provide actionable recommendations to support profitable growth.
Treasury & Cash Management
  • Oversee Cash Depot's nationwide treasury network, including banking relationships, vault partners, armored carriers, licensing requirements, and auditors.
  • Maintain strong internal controls surrounding cash management, financial transactions, and working capital.
  • Ensure compliance with loan covenants and provide updates to banking partners as needed.
Leadership & Team Development
  • Lead, coach, mentor, and develop a team of accounting and treasury professionals.
  • Recruit, hire, onboard, and evaluate team members.
  • Identify training opportunities and build future leaders within the organization.
Process Improvement & Compliance
  • Drive continuous improvement, standardization, and automation initiatives across accounting and treasury functions.
  • Ensure standard operating procedures are documented and maintained.
  • Coordinate annual external audits and partner with auditors throughout the engagement process.
  • Assist with tax planning activities and ensure compliance with all local, state, and federal requirements.
  • Identify operational efficiencies and recommend improvements that support organizational growth.
Requirements
  • Bachelor's degree in Accounting, Finance, Business Administration, or related field.
  • 10+ years of progressive experience in Finance or Accounting roles.
  • Previous leadership and direct management experience required.
  • Proven ability to lead, coach, mentor, and develop teams.
  • Strong knowledge of accounting principles, treasury management, internal controls, and financial reporting.
  • Experience managing audits, budgets, forecasting, cash management, and financial compliance activities.
  • Proficient with Microsoft Office Suite, including advanced Excel skills.
  • Results-oriented with a demonstrated sense of urgency and accountability.
  • Ability to understand complex business operations and drive financial improvements through data and analysis.
Skills & Qualifications
  • CPA designation and/or MBA preferred.
  • Strong analytical, financial modeling, reporting, and forecasting skills.
  • Experience leading Accounting and Treasury functions in a multi-location organization.
  • Ability to identify trends, risks, inefficiencies, and opportunities and develop actionable recommendations.
  • Strong understanding of US GAAP, IRS regulations, and accounting best practices.
  • Excellent written and verbal communication skills with the ability to influence and communicate effectively at all levels of the organization.
  • Proven ability to work effectively across departments and partner with executive leadership to support strategic decision-making.
  • Strong organizational skills with exceptional attention to detail and the ability to manage multiple priorities simultaneously.
  • Ability to adapt to changing business needs while driving continuous improvement and process automation initiatives.
  • Experience developing, documenting, and improving standard operating procedures and internal controls.
  • Demonstrated problem-solving skills, sound judgment, and a hands-on leadership style.
  • Ability to think strategically while remaining actively involved in day-to-day operations and project execution.
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