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US Controller - VP of Finance

The US Controller - VP of Finance is responsible for managing monthly financial reporting, overseeing accounting operations, and providing financial analysis and advice to senior management. The candidate should have experience in the finance and accounting industry, specifically broker/dealers and US banks.

Job description

Tasks

  • Financial Close & Accounting Operations:
    • Lead the monthly financial close process, including timely journal entry recording, reconciliations and preparation of financial reports for the broker/dealer and other finance related entities.
    • Ensure accurate and timely preparation and review of financial reports and board reports in accordance with US GAAP; review underlying support for completeness and accuracy.
    • Review income and expense general ledger entries for appropriateness and ensure that all monthly entries have been recorded, accrued or prepaid prior to month-end close.
    • Daily/ weekly/ monthly review of general ledger reconciliations.
    • Perform various accounting and financial control functions in accordance with established company strategies, policies and procedures.
    • Accounting for holding company and affiliated entities.
    • Maintain a documented system of accounting policies and procedures, including appropriate internal controls and internal audits.
  • Financial Analysis:
    • Perform financial analysis to identify trends, variances and opportunities for cost savings.
    • Provide insights and recommendations to senior management to support strategic decisions.
    • Work with the MIS group and provide information to produce analysis to support management initiatives and the quarterly review process.
    • Processing of projects and ad-hoc tasks.
  • Budgeting & Forecasting:
    • Collaborate within the finance team on annual budgeting processes and monthly/quarterly forecasts for all units.
    • Monitoring performance against budget, investigating variances and recommending corrective action.
  • Tax Reporting & Compliance:
    • Oversee the preparation and filing of tax returns to ensure compliance with federal, state and local tax laws.
    • Ensuring accurate and timely reporting of all types of taxes.
    • Coordinate and manage external audits and tax returns, acting as the main point of contact for auditors.
    • Monitoring internal controls to protect company assets and maintain financial integrity.
  • Vendor Payments & Accounts Payable:
    • Manage the Accounts Payable process to ensure payments to suppliers are made timely and accurately.
    • Review and approval of payment dates and disbursement reports.
  • Cash management:
    • Monitoring cash flow planning and ensuring the availability of funds when required.
  • Strategic Partnership & Advisory:
    • Working with senior management on long-term financial planning and strategic decision making.
    • Support in the evaluation of investment strategies, capital expenditure and new products (if applicable).
    • Providing insights into the potential risks, opportunities and financial impact of business initiatives.
    • Monitoring financial activities and details, such as reserve levels, to ensure that all legal and regulatory requirements are met.

Requirements

  • Bachelor's degree in finance or accounting or related field
  • Proven leadership skills in digital transformation
  • Advanced programming and/or coding skills
  • Relevant work experience in accounting/finance for broker/dealers and/or US banks and/or public accounting
  • Proven leadership qualities and experience in team management
  • Strong analytical, problem-solving and strategic thinking skills with a forward-looking approach
  • Familiarity with ERP systems (Netsuite preferred)
  • Strong quantitative

Job details

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