Mt Sterling, OH, 43143, USA
1 day ago
Controller
Description We are looking for a skilled Controller to oversee the financial operations and strategic planning of our organization in Mt. Sterling, Ohio. This role involves managing all aspects of financial reporting, budgeting, and compliance while ensuring the accuracy and integrity of financial data. The ideal candidate will be highly detail-oriented, analytical, and adept at implementing effective financial controls to support long-term organizational goals. Responsibilities: • Supervise financial operations, including cash flow management, accounts payable, accounts receivable, inventory, and general ledger activities. • Prepare and deliver accurate financial statements and reports that align with organizational standards. • Conduct monthly balance sheet reconciliations and provide thorough financial analyses. • Lead the annual financial audit process, coordinating efforts with external auditors to ensure compliance and accuracy. • Drive the budgeting process by collaborating with department heads to create realistic and achievable financial plans. • Monitor budget performance, analyze variances, and recommend corrective actions as needed. • Develop and maintain financial models that support forecasting and strategic long-term planning. • Implement and sustain effective internal controls to protect company assets and ensure regulatory compliance. • Manage treasury functions, including optimizing cash flow, reviewing bank reconciliations, and developing strategies to mitigate financial risks. • Prepare weekly cash forecasts and oversee processes related to payroll, accounts receivable, and accounts payable. Requirements • Proven experience in financial management, including accounts payable, accounts receivable, and general ledger oversight. • Solid understanding of auditing processes and internal control implementation. • Expertise in developing and managing budgets and financial forecasts. • Demonstrated ability to conduct in-depth financial analyses and prepare detailed reports. • Familiarity with treasury management, including cash flow optimization and risk mitigation. • Advanced skills in tools related to accounting and financial reporting. • Bachelor's degree in Accounting, Finance, or a related field; CPA certification is a plus. Robert Half is the world’s first and largest specialized talent solutions firm that connects highly qualified job seekers to opportunities at great companies. We offer contract, temporary and permanent placement solutions for finance and accounting, technology, marketing and creative, legal, and administrative and customer support roles. Robert Half works to put you in the best position to succeed. We provide access to top jobs, competitive compensation and benefits, and free online training. Stay on top of every opportunity - whenever you choose - even on the go. Download the Robert Half app (https://www.roberthalf.com/us/en/mobile-app) and get 1-tap apply, notifications of AI-matched jobs, and much more. All applicants applying for U.S. job openings must be legally authorized to work in the United States. Benefits are available to contract/temporary professionals, including medical, vision, dental, and life and disability insurance. Hired contract/temporary professionals are also eligible to enroll in our company 401(k) plan. Visit roberthalf.gobenefits.net for more information. © 2025 Robert Half. An Equal Opportunity Employer. M/F/Disability/Veterans. By clicking “Apply Now,” you’re agreeing to Robert Half’s Terms of Use (https://www.roberthalf.com/us/en/terms) .
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