We are looking for an experienced Controller to oversee core financial activities and support sound decision-making for the business in Depew, New York. This position plays a central role in managing cash activity, strengthening financial controls, and ensuring reliable reporting across treasury and accounting operations. The ideal candidate brings strong analytical judgment, hands-on operational finance experience, and the ability to collaborate across functions while maintaining accuracy and compliance.
Responsibilities:
- Lead day-to-day treasury activities, including cash positioning, funding coordination, and foreign exchange risk management.
- Oversee intercompany receivables and payables, ensuring accurate settlements and alignment with transfer pricing practices.
- Manage banking administration and perform detailed account reconciliations to maintain complete and accurate financial records.
- Review outstanding balances through aging analysis, follow up on open items, and help drive timely resolution of overdue transactions.
- Improve finance and accounting workflows by identifying opportunities to increase efficiency, consistency, and control.
- Prepare and monitor cash flow projections in partnership with business finance stakeholders to support short- and long-term planning.
- Maintain and enhance internal control practices to protect assets, support compliance, and reduce operational risk.
- Coordinate audit-related activities by organizing documentation, responding to inquiries, and assisting with review processes.
- Serve as a finance systems key user and contribute to special projects, ad hoc analysis, and reporting coverage when needed.