Corporate Controller

Objectives of this role

  • Monthly, quarterly, and annual financial reporting
  • Work closely with CFO for public company reporting, annual audit, quarterly reviews, and on-going financial filings.
  • Develop, implement, and maintain financial controls.
  • Help develop and support short and long-term operational strategies.
  • Work with CFO for Human Resources and Business Systems activities.

Responsibilities and skills

  • Establish (in coordination with CFO) and maintain financial, budgets, and reporting standards on biweekly, monthly, and annual basis – Public company reporting.
  • Multi-entity, multi-currency consolidation.
  • Prepare and review account reconciliations and journal entries and ensure consistent cut-off.
  • Prepare quarterly estimates for impairment, stock-based compensation and warranty provision.
  • Implement consistent accounting policies, and procedures across the various entities, adhering to IFRS standards.
  • Develop and enforce internal controls to maximize protection of the companies’ assets and ensure compliance with procedures.
  • Oversee all banking.
  • Direct and support staff of 3 accounting team members.
  • Prepare internal management reports and external reports for lenders.

Qualifications and skills

  • Bachelor’s degree (or equivalent) in business, accounting, or related field.
  • Ten or more years of accounting experience as a senior-level accounting, controller or finance manager.
  • Professional certification, such as CPA is beneficial.
  • Advanced in excel and Microsoft office.
  • Experience with Microsoft Business Central 365, or other ERP.
  • Strong communication skills to work together as a team, across functional departments and to international locations.

Compensation and perks

  • $110k to $130k per year plus stock options.
  • Benefits – medical, dental
  • 4 weeks vacation
  • Hybrid Office/Remote work opportunity
  • Out of downtown commute with free parking
  • Casual office environment