Corporate Controller Job in 30305, Georgia US
Corporate ControllerStorage Post is a privately held real estate investment trust headquartered in Atlanta.
Due to recent growth prospects we are currently looking for a dedicated and talented person to fill the Corporate Controller position.
Job Description· Directs all accounting functions to provide management with necessary financial information to plan, operate and control the business missions of the company · Provides leadership and direction related to identifying, documenting, and assessing the companys internal controls and procedures for financial reporting, in order to ensure ongoing compliance with the internal control provisions of the Sarbanes-Oxley Act Protects physical and financial assets of the corporation Ensures financial controls are established and followed in compliance with Generally Accepted Accounting Procedures (GAAP)· Ensures delivery of timely and accurate financial reporting to management, including monthly and year-end financial statements.
· Prepare and maintain all financial/accounting records and reports including balance sheets, financial statements, A/P, A/R, Cash, payroll, budgets, and corporate tax filings.
Directs payroll processes and procedures Maintains and upgrades the accounting systems (accounting reporting system, cost accounting system, payroll system, etc.) Administers daily activity for 401(K) plan as well as conducts audits; tax filings; and regulates insurance (life) involved in the Plan.
Develops, distributes, and educates the company in financial control processes and procedures Develops and manages annual Accounting budget Evaluates and administers risk management insurance such as property and casualty, etc. Coordinating year-end audit and tax work papers Creating and maintaining analyses needed to value investments.
Maintain the GL for the corporate entity · Assure timely payroll, corporate tax compliance, securing full advantage of all favorable federal, state and local tax codes· Develop, analyze, and interpret data to assess profitability, performance against budget, and other matters bearing on fiscally sound operations.
· Prepare and submit reports which summarize and forecast the company’s business activity and financial position in areas of income, expenses and earnings based on past, present and expected operations as directed.
· Submit recommendations for improvements in management of fiscal affairs.
· Analyze, consolidate and interpret financial data, prepare detailed reports, variance analyses and presentations for review by all levels of management · Identify and implement controls and procedures and reporting cycles to improve methods of controlling, monitoring and reporting key performance metrics · Audit for proper documentation of internal controls and adhering of financial policies and procedures · Manages and develops a comprehensive accounting program which integrates Generally Accepted Accounting Procedures (GAAP), accounting requirements and company- wide fiscal policies and procedures.
· Oversees the operations of financial accounting, financial analysis, accounts payable and receivable and cost accounting.
Directs, supervises, trains, evaluates, assigns, reviews, coordinates and evaluates work of staff in these areas.
· Represents the financial interests of the organization in accounting-related interactions/negotiations with other parties, such as banks, vendors, external auditors and management staff of other entities.
· Displays a high level of effort and commitment to performing work; operates effectively within the organizational structure; demonstrates trustworthiness and responsible behavior.
· Participate in the development of the firms plans and programs as a strategic partner.
· Evaluate and advise on the impact of long-range planning, introduction of new programs/strategies and regulatory action.
· Enhance and/or develop, implement and enforce policies and procedures of the firm by way of systems that will improve the overall operation and effectiveness of the firm.
· Develop a reliable cash flow projection process and reporting mechanism that includes minimum cash threshold to meet operating needs.
· Assist in hiring all accounting staff.
· This position reports directly to the COO Job Requirements· BA/BS Accounting, Finance, or related field; MBA or Master’s in Accounting preferred · CPA required · 5+ years experience as a controller with progressive financial, budget and reporting experience; 5+ years Management experience;10+ years experience with PC-based accounting systems· Public accounting experience preferred· International Accounting Standards (IFRS) experience preferred· Demonstrated leadership skills and experience in managing goals through collaboration and teamwork and leading financial reporting, · Excellent verbal and written communication skills· Thorough knowledge of Generally Accepted Accounting Procedures(GAAP)· Experience with budget preparation and financial management · Experience in a public company either in SOX implementation or SEC Reporting· Experience in Financial Projections and assumptions· Must have a roll up your sleeves approach, comfortable working in a growing and changing organization, and demonstrated success in achieving growth and profitability· Must be able to pass a background check and credit score check· Knowledge and proficiency with current federal and state tax laws and guidelines· Recent experience in preparing or supervising corporate tax returnsSalary commensurate with experience and comprehensive benefits package offered To apply please send your resume to careers [at] storagepost [dot] com and include Corporate Controller in the subject line.
Corporate Controller Job in 30305, Georgia US
Tags: accounting, Atlanta, budget, business missions, cost accounting system, estate investment trust, EXPERIENCE, management, payroll, payroll processes, Position, real estate investment trust, risk management insurance, sarbanes oxley act, tax
