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Financial Controller

About Proppel

We find and place Top 1% talent from LATAM in remote roles in UK & US companies to help them grow faster. If you’re looking for the opportunity to develop your skills and work with some of the best and most exciting companies around the world, Proppel is the place for you. Our headquarters are in London, UK, and we’re looking for top-tier talent in Latam to support our clients in the UK and the US. Good luck with your application!

What we're looking for

Our client, a leading US-based product company (CPG), is seeking a Financial Controller with a strategic mindset to oversee daily accounting operations, financial reporting, budgeting, compliance, and cash flow management, supporting key financial decisions and growth.

Please make sure your CV is in English, otherwise your application won’t be considered.

Responsibilities

  • Manage all day-to-day accounting operations, including Billing, Accounts Receivable, Accounts Payable, General Ledger, Cost Accounting, Inventory Accounting, and Revenue Recognition.
  • Prepare and manage budget and financial forecasting (P&L) and report any variances.
  • Prepare and publish monthly financial statements with commentary on key metrics.
  • Create and present monthly and annual reports that highlight key financial metrics, trends, and forecasts.
  • Ensure all financial transactions are accurately recorded, filed, and reported.
  • Maintain compliance with statutory laws and financial regulations in all reporting activities.
  • Document business processes and accounting policies to uphold internal controls.
  • Coordinate cash flow, debt management, and collections to support business operations.
  • Collaborate with various teams on budgeting, capital investments, resource management, and financial planning.
  • Supervise and manage financial department staff and agencies.
  • Oversee audit processes and coordinate with external auditors and other personnel.
  • Manage promotional spending for key accounts and assess financial impact.
  • Support financial strategy and decision-making to drive business growth.
  • Present financial reports and key metrics to board members and senior executives.
  • Input key performance indicators into third-party applications for communication with shareholders.
  • Advanced English level for clear communication and documentation.
  • Experience with US start-ups / small companies
  • Knowledge of US Accounting and Financial Principles.
  • Experience reporting financial data to investors
  • Solid and proven track recording in a similar role with top-notch results.
  • Familiarity with financial tools such as Bill.com (A/P), RAMP (spend management), and Rippling (HR) is a plus.
  • Fully remote.
  • Working directly with the US market.
  • Collaborative team and dynamic working environment.
  • Join an evolving Start-Up and add a LOT of value.
  • 12 business days of Paid Time Off + US Holidays!
  • USD Salary.


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MATCH
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FUNDING
DEPARTMENTS
SENIORITY LEVEL REQUIREMENT
TEAM SIZE
No info
LOCATION
No info
EMPLOYMENT TYPE
Full-time, remote
DATE POSTED
November 10, 2024

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