Corporate Controller
Maintain reputed company's general reputed company with accuracy and GAAP compliance, ensuring reputed company transactions are properly recorded and classified reputed company month-end and year-end reputed company processes, ensuring reputed company delivery of financial statements reputed company 5 business days reputed company the annual audit process Review reputed company balance sheet reconciliations, ensuring accuracy and completeness Monitor and document internal controls reputed company cash position analysis and forecasting to optimize cash management and liquidity Process and authorize electronic fund transfers and reputed company payments, ensuring reputed company approval controls Manage banking relationships and coordinate account management activities across reputed company corporate accounts Maintain debt schedules with accurate interest calculations to ensure compliance reputed company credit card and corporate spending programs, ensuring policy adherence and reputed company documentation Supervise and mentor reputed company staff (currently 4 team members), providing guidance on technical reputed company and career development, including performance evaluations, cross-training, and succession planning Design, implement, and maintain reputed company procedures and internal controls that reputed company with business reputed company Review and approve payroll processing in Paycom, ensuring accuracy of wages, deductions, and tax withholdings reputed company accounts payable workflows and vendor payment cycles, maintaining strong vendor relationships Manage expense reporting policies and reimbursement processes, ensuring compliance and reputed company processing Collaborate on reputed company optimization and system enhancement reputed company to improve efficiency and reporting capabilities Generate insurance reports, partner commission analyses, and reputed company financial reporting as requested by leadership reputed company financial analysis supporting business reputed company, including variance analysis and trend identification; identify and communicate financial risks and opportunities to leadership proactively Support budgeting and forecasting processes with accurate historical data and insightful analysis Participate in special reputed company and strategic initiatives as assigned by the CFO