What are the responsibilities and job description for the Financial Controller position at Broadgate?
Financial Controller (Hybrid - Tampa)
Are you an experienced Financial Controller looking for a new opportunity? Our client, a growing company based in Tampa, is seeking a skilled and detail-oriented individual to manage their financial operations. This hybrid role offers a flexible work schedule—3 days in the office and 2 days remote.
As the Financial Controller, you will be responsible for overseeing financial statements, cash flow management, tax liabilities, and internal controls. You’ll work closely with senior leadership and accounting teams to ensure accuracy in all financial operations, while also taking on special projects to support company goals.
Key Responsibilities:
Qualifications:
Are you an experienced Financial Controller looking for a new opportunity? Our client, a growing company based in Tampa, is seeking a skilled and detail-oriented individual to manage their financial operations. This hybrid role offers a flexible work schedule—3 days in the office and 2 days remote.
As the Financial Controller, you will be responsible for overseeing financial statements, cash flow management, tax liabilities, and internal controls. You’ll work closely with senior leadership and accounting teams to ensure accuracy in all financial operations, while also taking on special projects to support company goals.
Key Responsibilities:
- Prepare accurate and timely financial statements for the company
- Record and ensure compliance of financial transactions
- Maintain and reconcile fixed assets to the general ledger
- Lead accounting projects as required
- Provide financial reporting and analysis, ensuring management has key insights to make informed decisions
- Oversee the insurance renewal process and provide documentation support
- Manage cash flow, ensuring financial stability and liquidity
- Prepare and manage tax liabilities, including quarterly payroll returns
- Monitor and process accounts payable and receivable
- Handle the full cycle of accounting, preparing and distributing monthly/quarterly financial statements
- Prepare and adjust the annual trial balance for year-end financial statements
- Oversee audits and ensure proper documentation for workers' compensation, general liability, and other audits
- Work closely with the audit team to prepare schedules and provide needed information
- Manage weekly reports, including accounts receivable and payable aging reports and payroll
Qualifications:
- 5 years of experience in accounting and finance
- Bachelor’s degree in Accounting (CPA or CMA certification preferred)
- Extensive knowledge of accounting principles and procedures
- Proficient in Excel, QuickBooks, Microsoft Dynamics, ERP systems
- Experience creating financial statements and managing month-end/year-end close processes
- Strong organizational and time management skills
- Ability to communicate complex financial information to management and auditors