Corporate Controller
Listed on 2025-12-14
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Finance & Banking
Financial Manager, Corporate Finance, CFO -
Management
Financial Manager, CFO
Corporate Controller
Location US-NJ-Summit
Category Accounting/Finance
Position Type Regular Full-Time
Office Model Hybrid
Seniority Level (Linked In)
Director
The Corporate Controller will be a key member of the finance leadership team, reporting directly to the CFO. This individual will oversee the global accounting team, order-to-cash (OTC) function, and the payroll team, providing leadership and direction to ensure accurate and timely financial reporting, compliance with relevant accounting standards, financial strategy, and efficient financial operations in a high-growth SaaS environment.
Job ResponsibilitiesLEADERSHIP & TEAM MANAGEMENT:
- Lead, mentor, and develop the global accounting, order-to-cash, and payroll teams
- Establish clear performance objectives, foster a culture of accountability, and support career development while setting ambitious goals that will push the company forward
- Collaborate cross-functionally with FP&A, Legal, Human Resources, Commercial, and other key business units
- Coach direct reports to foster a culture of high-performing, collaborative teams
- Conduct timely performance appraisals and manage the career paths of accounting staff
- Lead a diverse 14-person team located across Summit (New Jersey), Charlotte (North Carolina), London (England), and Sofia (Bulgaria)
STRATEGIC INITIATIVES:
- Drive continuous improvements in systems, processes, and policies to support scale and automation; analyze and recommend AI solutions that suit the Company’s goals and needs
- Support M&A due diligence and integration as needed, including recommendations on structure and post-merger integration aspects including consolidations and restructuring to effectuate synergies while managing the legal and tax risks
- Provide insights and analysis to support executive decision-making
- Own and lead the Salesforce to Net Suite integration, creation of new products, and optimizing our order-to-cash methods and KPIs
FINANCIAL REPORTING & COMPLIANCE:
- Oversee the preparation and review of monthly, quarterly, and annual consolidated financial statements in accordance with US GAAP (and local statutory requirements for the foreign subsidiaries)
- Ensure compliance with internal controls and maintain a robust control environment
- Coordinate and manage the completion of external financial statement audit of the Company and its foreign subsidiaries and liaise with auditors as the main point of contact
- Assists in the preparation and submission of the Company’s annual federal and sales tax, state tax filings and shareholder K-1’s
- Aides in required regulatory filings for Company’s foreign subsidiaries
OPERATIONAL ACCOUNTING:
- Own all aspects of the general ledger, month-end close process, account reconciliations, and financial consolidations
- Optimize and maintain efficient processes for revenue recognition (ASC 606), leases, intangibles, commissions, and other SaaS-specific accounting considerations
- Manage the order-to-cash cycle, including billing, collections, and revenue assurance while supporting business initiatives to enhance growth and the SLA we provide internally and externally
- Oversee banking operations and cash management, coordinating with bank contacts, and take a strong cash protection posture
- Strategize and plan the case levels and usage in different jurisdictions, forecast cash flows monthly, and provide actionable recommendations on how to best manage our cash balances
- Lead the insurance coverage and renewals on an annual basis
- Prepare quarterly debt covenant compliance calculations
- Bachelor’s degree in Accounting, Financial, or Business Administration, MBA preferred
- CPA and/or public accounting experience
- 10+ years of comprehensive accounting experience in high-growth technology and SaaS financial environments, demonstrating expertise in enterprise-level financial management
- 5+ years in a leadership role, ideally within a high-growth SaaS or technology company
- Proficient knowledge of Excel, problem solving and analytical skills required
- Experience with Net Suite, Flo Qast, and/or Paylocity is a plus
- Past payroll experience is a plus
KNOWLEDGE AND SKILLS:
To perform the job successfully, an individual…
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