Skip to main content
Tallo logoTallo logo

Find Jobs

Find Jobs Near You – Available Work in Your Location

Skip to job details

Back to Results

Apply for this opportunity

To apply for this job, you'll continue to an external website or email application.

Thrush Aircraft

Financial Controller

Career Insights for Controller (General)

See where this job fits in the broader career landscape. Knowing your career path helps you see what's possible from here.

Scorecard

Based on Georgia data

Review key factors to help you decide if this role fits your goals. How is this calculated?

Were these scores useful?

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.

$150,414 / year median in Georgia

+6% projected growth

Explore Career

Job Description

JOB DESCRIPTION
Summary / Objective The controller will report directly to the CFO and manage the financial operations of the aircraft manufacturing company including budgeting, planning, costing and other financial matters. Oversees the operations of the Accounting Department, which include AR, AP, General Ledger, and Payroll. Essential Functions Oversee the activities of the corporate accounting department for the accurate and timely dissemination of financial management reports including, but not limited to, internal and external monthly financial statements, annual audits, and annual budgets. Oversee the activities of Accounts Payable, ensuring the accurate and timely processing of invoices, petty cash, employee expense reports, cash control, payroll processing and total corporate payroll tax compliance. Oversee the activities of Accounts Receivable, ensuring the accurate and timely management of all receivable components including invoicing and cash receipts application. Invoice funding management, including relationship with third party vendors and weekly funding reports. Quarter and year-end payroll closing including federal and state reports; and check statistic management. Work closely with outside CPA firm to ensure corporate income tax compliance, R and D Tax credit capture, and timely completion of annual audit. Maintain schedules of company debt and calculation of interest payments. Ensure compliance with local, state, and federal government requirements. Work closely with other departments to establish and maintain systems and controls that validate the integrity of all processes, and data. Maintains a documented system of accounting policies and procedures; implement a system of controls over accounting transactions to minimize risk. Manage the accumulation and consolidation of all financial data necessary for an accurate accounting of consolidated business results. Respond to CFO as assigned with accurate and timely work to facilitate the financial needs of the company. Participate in a wide variety of special projects and compile a variety of special reports. Recommend benchmarks that will be used to measure the company's performance. Produce the annual budget and forecasts; reports significant budget differences to management. Competencies Extensive knowledge of SAP ERP software. Proficient in Microsoft Office Suite or similar software. Excellent management and supervisory skills. Excellent written and verbal communication skills. Excellent organizational and time management skills. Excellent project management skills.