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We are offering an exciting opportunity with one of our clients in the security industry located in Bethesda, Maryland (in-office 5 days/week). We are seeking a Controller to provide strategic oversight to our client's dedicated accounting team and shape their financial operations by working with the c-suite.
Job Responsibility:
Drive efficiency and compliance by developing, establishing, and implementing accounting methods and policies
Foster a positive and collaborative work environment by leading a large accounting team and managing performance to ensure goals are met
Support the growth of our accounting team by interviewing and hiring top talent
Ensure deadlines are consistently met and that financial processes run smoothly to maintain operational excellence
Utilize your expertise in accounting software systems to streamline accounting functions
Oversee and manage the GL team, accounts payable (AP), billing and accounts receivable (AR)
Conduct auditing and manage budget processes to ensure financial stability
Prepare financial statements and oversee general ledger
Handle month-end close and provide comprehensive financial reporting
Conduct budgeting and forecasting to ensure financial growth and stability
Apply supervisory management skills to maintain a productive and efficient team
Requirements:
10+ years of hands-on day to day accounting experience up to financial reporting as well as budgeting/forecasting
BS in Accounting
preferably with a CPA
strong supervisory skills
10+ years of experience in a Controller role or similar within the Waste, Refuse & Environmental Waste Management industry
Proficiency in Accounting Software Systems
Extensive knowledge of Accounting Functions
Experience handling Accounts Payable (AP) and Accounts Receivable (AR)
Proven expertise in Auditing practices
Familiarity with Budget Processes, including planning and implementation
Ability to prepare accurate Financial Statements
Experience in Supervisory Management, capable of leading a team
Thorough understanding of General Ledger management
Proficient in conducting Month End Close procedures
Demonstrated ability in Financial Reporting, ensuring transparency and accuracy
Experience in Budgeting and Forecasting, with an ability to predict financial trends and plan accordingly
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