Controller and Finance Manager Position Available In Berkshire, Massachusetts
Tallo's Job Summary: This job listing in Berkshire - MA has been recently added. Tallo will add a summary here for this job shortly.
Job Description
Controller and Finance Manager Brod & Taylor North Adams, MA 01247
- Hybrid work Position Summary We are seeking a highly skilled and analytical Controller and Finance Manager to join our leadership team and play a pivotal role in both financial stewardship and strategic planning.
This position combines the rigorous responsibilities of a traditional Controller, ensuring compliance with financial policies, leading month-end and year-end closings, and delivering accurate financial reporting, with the forward-looking insights of a Financial Manager, including budgeting, forecasting, and business modeling for new initiatives and product development. The ideal candidate is a hands-on, detail-oriented professional with a strong foundation in accounting, a keen analytical mindset, and the ability to support business decisions through sound financial insight and modeling. Key Responsibilities Controllership Duties Financial Accounting & Reporting
- Oversee the preparation of timely and accurate financial statements (P&L, Balance Sheet, Cash Flow) in accordance with GAAP.
- Ensure compliance with all financial regulations, including state, federal, and industry-specific requirements.
- Maintain the general ledger and chart of accounts; ensure accuracy of journal entries and account reconciliations.
- Produce monthly management reporting packages with commentary on financial performance, key trends, and variances. Month-End and Year-End Closing
- Manage the complete closing process, including revenue recognition, expense accruals, fixed asset tracking, and inventory reconciliation.
- Develop and maintain a closing checklist to ensure all closing tasks are completed systematically and efficiently.
- Analyze and reconcile key accounts to detect and resolve discrepancies before financial reporting. Internal Controls & Policy Compliance
- Design and enforce financial and accounting policies, procedures, and internal controls to safeguard company assets.
- Conduct regular reviews and audits to ensure adherence to internal processes and identify areas for improvement.
- Maintain accounting documentation and policy manuals; provide guidance and training to staff on accounting standards. Audit & Compliance
- Serve as the primary liaison with external auditors during financial and tax audits.
- Prepare all necessary audit schedules, documentation, and responses to auditor inquiries.
- Monitor compliance with loan covenants and reporting obligations to financial institutions or investors. Cash Management & Operational Support
- Monitor daily cash flow and develop 13-week rolling cash forecasts.
- Oversee banking relationships and optimize working capital usage.
- Support vendor negotiations through analysis of payment terms, purchasing cycles, and cost reduction opportunities. Financial Analysis and Strategic Planning Budgeting & Forecasting
- Lead the annual budgeting process in collaboration with department heads, aligning financial plans with strategic goals.
- Develop rolling forecasts (monthly/quarterly) to reflect current trends and evolving business conditions.
- Prepare detailed budget-to-actual analyses, highlighting significant deviations and recommending corrective actions. Financial Modeling
- Create dynamic financial models to support pricing strategies, channel margin analysis, and sales growth scenarios.
- Design IRR, NPV, and breakeven models for new product development, capital investments, and business expansion plans.
- Conduct sensitivity and scenario analysis to assess risks and opportunities under varying business assumptions. Product & Operational Analytics
- Analyze product-level gross margins, COGS, contribution margins, and unit economics across channels and regions.
- Collaborate with operations to evaluate inventory levels, production costs, and supply chain efficiency.
- Support product roadmap decisions with cost-benefit analysis, investment recovery timelines, and capacity planning inputs. Cross-Functional Financial Leadership
- Partner with Marketing, Sales, and Product Development teams to develop financial KPIs for measuring campaign ROI, customer acquisition cost (CAC), and lifetime value (LTV).
- Present financial insights and recommendations to executive leadership in support of strategic initiatives and board discussions.
- Translate financial data into executive-level presentations and dashboards for ongoing business performance monitoring. Qualifications Required
- Bachelor’s degree in finance or accounting.
- 5-10 years of progressive experience in accounting and financial analysis.
- Direct experience in a manufacturing or consumer products environment.
- Strong knowledge of GAAP, financial reporting, and internal controls.
- Advanced proficiency in Microsoft Excel.
- Experience with accounting software and ERP systems (e.g., Oracle NetSuite).
- Experience with or eagerness to learn financial modeling and analysis.
Job Type:
Full-time Pay:
$110,000.00 – $130,000.00 per year
Benefits:
401(k) 401(k) matching Dental insurance Employee discount Flexible schedule Health insurance Paid time off Parental leave Tuition reimbursement
Schedule:
Monday to
Friday Supplemental Pay:
Bonus opportunities Ability to
Commute:
North Adams, MA 01247 (Preferred) Ability to
Relocate:
North Adams, MA 01247: Relocate before starting work (Preferred)
Work Location:
Hybrid remote in North Adams, MA 01247