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Posted: Tuesday, October 31, 2017 11:16 PM

Job Description A highly effective management company is looking for a Controller. The Controller will be a strategic partner for the company who has knowledge and involvement in all aspects of company finances. Leading our general accounting team to ensure that all work is completed accurately and in a timely manner. The Controller will oversee on all general accounting practices, budgeting, data and document systems, and financial analysis. The controller’s role is to organize and maintain the financial processes of a multi-company environment in order to ensure the overall accuracy of the financial information and reports of the companies, compliance with all relevant laws and taxes, and promote the efficiency and profitability of the companies. This role will have a mix of project-based components and standardized process work. This position is responsible for developing and maintaining accounting and financial processes, ensuring compliance with all relevant accounting, tax and legal rules and regulations, interfacing with external accountants and auditors, providing insights into our finances to senior management, managing the accounting staff, and generally ensuring the accuracy of our financial records and reports. This position manages a variety of accounting activities including general ledger preparation, banking, financial reporting, accounts payable, accounts receivable, payroll, fixed assets, year-end audit preparation and the support of budget and forecast activities. Essential Functions: Obtain and maintain a thorough understanding of the financial reporting and general ledger structure. Manages all accounting functions including but not limited to accounts payable and payroll. Ensure the timely reporting of all monthly financial information including monthly, quarterly and year-end close. Works with banks and other financial institutions on setting up new accounts and credit card processing. Provides senior management with timely reviews of organization's financial status and progress. Develop and manage financial controls in accordance with the company’s procedures. Maintain banking relationships and administration Ensure the timely payments of all taxes, any leasehold or contractual obligations and accounts payable. Monitors and analyzes department work to develop more efficient procedures and use of resources while maintaining a high level of accuracy. Perform other duties, as assigned. We have an excellent benefits package including, health, dental, vision, 401K, paid holidays and opportunity for advancement. We are an Equal Opportunity Employer. All applicants will be considered for employment without regard to race, religion, color, gender, sexual orientation, national origin, marital or veteran status, medical condition or disability, or any other status protected by law.


• Location: Reno

• Post ID: 36750037 reno is an interactive computer service that enables access by multiple users and should not be treated as the publisher or speaker of any information provided by another information content provider. © 2017