An established and growing $300 mm luxury consumer product manufacturer located in Dallas, TX is seeking a skilled, process-oriented Corporate Controller. Our innovative, award-winning creations are designed and produced in the US and have been at the forefront of the interior decor industry for decades.
Reporting to the CFO, this key role oversees our corporate accounting function encompassing 6+ team members across several business units in multiple states. Our CFO has a track record of providing a supportive and challenging environment to develop and help the team progress professionally. Those who work best with a balance of freedom to make the job their own coupled with guidance, checks and balances will find this an excellent opportunity to grow in experience and make a profound impact.
The ideal candidate is a CPA, currently resides within commuting distance to southwest Dallas County and has solid accounting experience in a manufacturing business, preferably in a senior role. As a strong communicator and experienced leader, this person will ensure best-in-class accounting and financial reporting processes and work closely with the executive leadership team on corporate governance. The Controller will also be responsible for treasury, the annual audit process and tax reporting.
OBJECTIVES OF THIS ROLE:
Drive efficient accounting processes company-wide
Develop, implement, and maintain financial controls and guidelines
Provide comprehensive financial updates to senior managers by evaluating, analyzing, and reporting appropriate data points
Coordinate Comprehensive Corporate Governance program, including company policies and procedures
Manage annual audit and tax reporting
Help develop and support short- and long-term operational strategies
RESPONSIBILITIES:
Maintain internal safeguards for revenue receipts, costs, and team and organizational budgets and actual expenditures
Establish (in coordination with CFO) reporting standards on monthly, quarterly and annual basis, including quarterly balance sheet reviews
Implement consistent accounting policies, practices, and procedures across all programs, adhering to national and local legal standards while remaining knowledgeable of proposed legislation
Develop and enforce internal controls to maximize protection of company assets, policies, procedures, and workflows
Oversee and support accounting team with dynamic leadership that creates an environment of trust and productivity
Treasury & Bank Reporting
Coordinate annual audit and tax reporting
Support CFO and VP of Human Resources with insurance matters
REQUIRED SKILLS AND QUALIFICATIONS:
10+ years of professional accounting experience
Professional certification such as CPA or CA
Strong understanding of banking processes and financial data analysis
Working knowledge of national and local tax regulations and compliance reporting
Experience with payroll, with focus on streamlining accounting processes
Exemplary history of financial project management
PREFERRED SKILLS AND QUALIFICATIONS:
Bachelor’s degree (or equivalent) in business, accounting, or related field
5+ or more years of experience as a senior-level accounting or finance manager