Corporate Controller

  • location: Houston, TX
  • type: Permanent
  • salary: $100,000 - $150,000 per year
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job description

Corporate Controller

job summary:
Are you detail oriented and analytical? Do you like solving problems and collaborating with others to find new solutions? We are looking for a Corporate Controller for a Communications company in central Houston. Step into the role of Corporate Controller where you will be responsible for the month-end close process, cash forecasting, treasury, and owning the General Ledger. The ideal Corporate Controller will possess an Accounting Degree and have at least five (5) years of experience.

If you are ready to make a career move please click to apply or email your resume to

location: Houston, Texas
job type: Permanent
salary: $100,000 - 150,000 per year
work hours: 8 to 5
education: Bachelor's degree
experience: 5 Years
Develop strong teams able to meet and exceed company financial objectives.

Maintain a comprehensive set of controls for accounting and business services policies and procedures.

Direct operations of the accounting, purchasing, and process improvement functions.

Support and drive the development of the systems utilized by the teams to achieve their goal and objectives

Responsible for hiring, training, delegating assignments, holding accountable, performance management, and corrective or disciplinary actions for all direct reports.

Manage financial and business services data integrity and safe guard company assets to meet and exceed company financial objectives.

Maintain tight controls on cash disbursements by ensuring invoices are properly vetted for necessity and validity.

Ensure that accounts receivables are billed and drive collections to be received in a prompt and timely manner.

Ensure that accounts payables are paid in a timely manner

Ensure materials purchased satisfy customer contracts in a timely manner

Ensure that periodic bank reconciliations are completed

Ensure that required debt payments are correct and made on a timely basis

Develop, maintain and report measurable results as a guide for strategic business decisions to meet and exceed company financial objectives.

Project monthly cash and P&L by the 5 th business day of each month.

Calculate and issue financial and operating metrics

Manage the production of the annual budget and forecasts

Calculate budget variances and report significant issues to management

Provide for a system of management cost reports

Coordinate corporate annual report/audit with external CPAs

Provide financial analyses as needed for capital investments, pricing decisions, and contract negotiations

Issue timely and complete financial statements in accordance to GAAP

Supervise compliance with local, state, and federal government reporting requirements and tax filings.

Equivalent business experience and 5+ years of progressively responsible experience for a major company or division of a large corporation.

Preference will be given to candidates with Certified Public Accountant designations.

Bachelor's degree in accounting or business administration

If you are ready to make a career move please click to apply or email your resume to

skills: Accruals, Cash Management, Month-End Close, Cash Forecasting, Banking Relationships, Cash Forecasting/Cash Flow
Equal Opportunity Employer: Race, Color, Religion, Sex, Sexual Orientation, Gender Identity, National Origin, Age, Genetic Information, Disability, Protected Veteran Status, or any other legally protected group status.

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