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P
PrideStaff
Financial Controller
Career Insights for Controller (General)
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Based on Florida data
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What they do
A Controller directs and oversees the treasury of a government, private corporation or non-profit organization, and may oversee the investment of funds. Supervises the quality of accounting and financial reporting within an organization, and directs preparation of reports that show the financial position of an organization.
$150,102 / year median in Florida
+13% projected growth
Job Description
At PrideStaff, we connect exceptional talent with great companies. We are currently seeking a highly skilled and strategic Financial Controller to oversee financial operations, strengthen internal controls, and drive accurate financial reporting. The Financial Controller will manage accounting operations, support executive decision-making, and ensure full regulatory and tax compliance. This role works closely with senior management, external auditors, banking partners, and operational teams to maintain strong financial governance. Key Responsibilities Financial Reporting Oversee monthly, quarterly, and annual financial statement preparation. Manage accurate and timely month-end and year-end closing processes. Maintain the general ledger and review all account reconciliations. Analyze financial results, investigate variances, and maintain accounting policies. Budgeting & Financial Analysis Monitor actual performance against budgets and forecasts. Create management reports, financial models, and performance dashboards. Analyze revenue, expenses, margins, and cash flow to provide strategic insights. Support overall business planning and corporate decision-making. Internal Controls & Compliance Develop, implement, and maintain robust internal financial controls. Ensure adherence to accounting standards, tax laws, and regulatory requirements. Establish appropriate authorization levels and segregation of duties. Coordinate internal/external audits and resolve audit findings promptly. Cash Flow & Treasury Management Monitor cash flow, working capital, accounts receivable, and accounts payable. Manage banking relationships, payment workflows, and bank reconciliations. Prepare rolling cash-flow forecasts and identify liquidity requirements. Tax & Statutory Requirements Coordinate preparation and submission of tax filings with external advisors. Maintain proper statutory financial records and documentation. Stay current on changes in tax laws and accounting regulations. Team Leadership & Systems Improvement Supervise, mentor, and evaluate finance and accounting team members. Lead the ERP (NetSuite) implementation and future system upgrades. Automate manual processes to enhance workflow efficiency and reporting accuracy.