Controller Position Available In Charleston, South Carolina
Tallo's Job Summary: Cadila Global Solutions in Charleston, SC is hiring a Controller for a full-time position with a salary range of $100,000 to $120,000 per year. The role requires 3 years of experience in financial analysis, investment, and overseeing financial functions. Qualifications include CPA certification, financial modeling skills, and knowledge of accounting software. Key responsibilities include financial reporting, budgeting, cash flow management, and tax compliance.
Job Description
Controller Cadila Global solution Charleston, SC Job Details Full-time $100,000 – $120,000 a year 2 days ago Benefits Health savings account Health insurance Dental insurance 401(k) Paid time off Vision insurance 401(k) matching Employee discount Life insurance Qualifications Investment Microsoft Excel CPA Financial modeling Yardi Accounting software IFRS 3 years Finance Analysis skills Supervising experience Mergers & acquisitions Bachelor’s degree Financial report interpretation GAAP Financial concepts Accounting Certified Bookkeeper QuickBooks Construction Senior level AI 4 years Chartered Financial Analyst Accounting Communication skills Full Job Description Job Overview We are seeking a Controller with experience working in residential real estate development and acquisitions to oversee all corporate financial functions, financial planning and analysis, cash management, managing bookkeepers as well as all lender and investor reporting functions as the company grows its property portfolio. You will be responsible for oversight of all accounting activities as well as all financial and investor reporting, budgeting, forecasting, financial, FP&A, Treasury, payroll and cash management activities. You will be required to understand real estate operating capital needs and requirements, cash flow, business points of fund, JV and loan operating agreements and the financial closing process. A summary of key attributes / responsibilities include:
Financial Reporting:
Generate and analyze company, JV and property level financial statements, including income statements, balance sheets, and cash flow statements. Prepare monthly financial reports to lenders and investors.
Budgeting and Forecasting:
Develop annual budgets and financial forecasts in collaboration with executive management. Monitor actual performance against budgeted figures and provide insights on variances.
Financial Analysis:
Conduct thorough financial analysis to support strategic decision-making, such as investment opportunities, pricing strategies, and cost-saving initiatives.
Cash Flow Management:
Manage cash flow to ensure liquidity needs are met, optimizing the timing of cash inflows and outflows.
Financial Controls:
Implement and maintain internal controls to safeguard company assets and ensure compliance with regulations and accounting standards.
Tax Planning and Compliance:
Coordinate tax planning strategies and ensure compliance with local, state, and federal tax regulations. Liaise with external tax advisors as necessary.
Audit Management:
Coordinate the annual audit process with the CFO, liaising with external auditors and ensuring timely completion of audit requirements. The ideal candidate has the following characteristics, skills and or qualifications Bachelor’s degree in Accounting, Finance, or a related field. Current CPA or CFA certification preferred. Minimum 7 years professional work experience in investment company accounting and/or real estate in a Senior Manager or Controller level position, with at least 3 years in a supervisory role. Professional certifications such as certified bookkeeper or related credentials are a plus. Strong knowledge of commercial real estate financial concepts, including loan agreements, property management financials, property valuation, leasing structures, and development finance. Experience with institutional funds or fund management is a plus. Proficiency in financial modeling and analysis, with advanced Excel skills. Proficiency in accounting software, such as Quickbooks, Yardi, AppFolio or other commercial real estate accounting platforms. Experience preparing multi-entity and intercompany transactions, financial reports, budgets and cash flow projections specific to real estate investments. Solid understanding of real estate-specific accounting standards, such as GAAP and IFRS. Excellent communication and interpersonal skills, with the ability to present financial information to non-financial stakeholders and institutional investors. Strong leadership abilities with a track record of building and managing high-performing teams. Analytical mindset with attention to detail and the ability to think strategically. Ability to thrive in a fast-paced, dynamic environment and adapt to changing priorities.
Risk Management:
Identify financial risks and develop strategies to mitigate them, such as interest rate risk, currency risk, and market risk.
Financial Systems and Processes:
Evaluate and enhance financial systems and processes to improve efficiency, accuracy, and effectiveness using AI.
Payroll Management:
Oversee payroll processing to ensure accurate and timely compensation, compliance with applicable laws and regulations, and proper recording in the financial system.
Job Type:
Full-time Pay:
$100,000.00 – $120,000.00 per year
Benefits:
401(k) 401(k) matching Dental insurance Employee discount Health insurance Health savings account Life insurance Paid time off Vision insurance
Schedule:
Monday to
Friday Experience:
institutional fund and corporate : 3 years (Required) specifically with real estate development or construction : 3 years (Required) working outside investors/fund/equity: 3 years (Required)
Work Location:
In person