Financial Controller

Detalles de la oferta

.**A LITTLE BIT ABOUT Boldr****:- Boldr is the first global B-Corp dedicated to delivering world-class Client experiences while creating access to dignified, meaningful work in communities around the world.- We are a global team, united by our desire to connect diverse people with common values for boldr impact.- We employ just over a thousand team members across five countries and we want to employ over 5,000 people by 2027, if not sooner.**LET'S START WITH OUR VALUES****:- Meaningful connections start with AUTHENTICITY.- We do our best work by being CURIOUS.- We grow by remaining DYNAMIC.- Our success combines AMBITIOUS VISION with OPERATIONAL EXCELLENCE.- At the heart of great partnerships we'll always find EMPATHY.**WHAT IS YOUR ROLE**:As a Financial Controller you will be responsible for the financial management of the company - including regular financial reporting, overseeing audits, developing departmental budgets, managing cash flows, working with department leads to reduce expenses, raising capital and maintaining our financial obligations and debt covenants.**WHY DO WE WANT YOU****:We are currently looking for impact-driven individuals who are passionate in helping Boldr grow and achieve our Purpose. We expect our Team to become our ultimate partners to success by always giving their 110% in everything, sharing their talents and quirks, and championing our core values: Curious, Dynamic and Authentic.**WHAT WILL YOU DO**:- Oversee the activities of the Accounting department including accurate and timely financial reporting (monthly financial statements, annual audits, budgets, etc.).- Ensure timely month-end close procedures. Participate in monthly close duties including preparing journal entries, and reconciling balance sheet accounts.- Oversee Accounts Payable and Accounts Receivables and Payroll.- Establish policies & procedures and internal controls in compliance with GAAP (Generally Accepted Accounting Principles).- Cash Flow management including updating cash flow projections and communicating cash flow position to Senior Management.- Work closely with Operations to establish effective Inventory Management and oversee all inventory accounting functions including reconciliations, accruals, adjustments, etc.- Prepare Budget vs. Actuals, and prepare narratives/presentations to share with sr. mgmt.- Manage audit process and facilitate requests from audit firm.- Work with existing and future lenders and investors to raise capital and maintain financial oblications.**Requirements**:**WHAT WE'LL LIKE ABOUT YOU**:YOU ARE- Curious and authentic, just like us! #beboldr.- An analytical and critical thinker, with an eye for even the most minute of details.- Passionate about client satisfaction.YOU HAVE- Bachelor's Degree in Accounting or Finance required.- Public accounting experience and CPA preferred.- 4 to 6 years of accounting experience in a fast-paced environment, preferably with a startup.- 2+ years of management experience


Salario Nominal: A convenir

Fuente: Jobtome_Ppc

Requisitos

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