Benefits:
401(k)
Dental insurance
Flexible schedule
Health insurance
Paid time off
Vision insurance
Position Summary:
Be a key player in an exciting, high-growth company from the ground up, where your contributions will directly shape our success and open doors for your career advancement. The Controller is responsible for the overall financial management of the organization, providing strategic leadership and oversight to ensure financial health and operational efficiency. This role involves managing all aspects of accounting, budgeting, forecasting, financial planning, compliance, and reporting. The Controller will work closely with the executive team to drive financial strategies, manage risk, and support business growth through data-driven financial insights.
Key Responsibilities:
Financial Planning & Analysis:
Lead the budgeting, forecasting, and variance analysis processes to ensure alignment with organizational goals.
Prepare and present financial reports, including analysis and projections, to the executive team and board.
Accounting Operations:
Oversee all aspects of financial accounting, including accounts payable, accounts receivable, payroll, and general ledger functions.
Ensure timely and accurate month-end and year-end close processes.
Implement and maintain effective internal controls to safeguard company assets and ensure compliance.
Compliance & Risk Management:
Ensure compliance with all federal, state, and local regulations, as well as corporate policies and procedures.
Manage external audits and tax filings and liaise with legal and regulatory bodies as needed.
Identify, evaluate, and mitigate financial risks, including credit, market, and operational risks.
Treasury & Cash Management:
Oversee cash flow management to ensure liquidity and optimize working capital.
Monitor and manage banking relationships, credit facilities, and investment strategies.
Develop and implement cost-saving initiatives and financial risk mitigation strategies.
Financial Reporting & Communication:
Prepare and deliver comprehensive financial reports and presentations to stakeholders, including the executive team, board members, and investors.
Communicate financial performance and key insights in a clear, actionable manner to support decision-making.
Qualifications:
Bachelor’s degree in Finance, Accounting, Business Administration, or related field; CPA, CMA, or MBA preferred.
Minimum of 8-10 years of progressive experience in finance, with at least 3-5 years in a senior leadership role (Controller, VP of Finance, CFO).
Strong understanding of accounting principles, financial reporting, and tax regulations.
Proficient in financial management software and ERP systems; advanced Excel skills required.
Excellent communication, leadership, and interpersonal skills, with a strategic and analytical mindset.
Proven track record in managing financial risk, optimizing processes, and supporting business growth.
Startup experience preferred but not required
Working Conditions:
This is a hybrid position but will predominantly be remote.
Occasional travel may be required to meet with franchisees or attend industry conferences.
Flexible work from home options available.
This franchise is independently owned and operated by a franchisee. Your application will go directly to the franchisee, and all hiring decisions will be made by the management of this franchisee. All inquiries about employment at this franchisee should be made directly to the franchise location, and not to Rolling Suds Corporate.