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Controller

Robert Half

Jupiter, FL 33458 • $135,000 to $160,000 / yr • 9/10/2026

Job Description

Job Description
We are looking for an experienced Controller to lead core accounting operations and provide reliable financial insight for the organization in Jupiter, Florida. This role will oversee reporting accuracy, strengthen financial controls, and support informed decision-making through budgeting, forecasting, and cash management. The ideal candidate brings strong technical accounting knowledge, sound business judgment, and the ability to guide audits and compliance activities in a dynamic environment.

Responsibilities:
• Direct the monthly close cycle, ensuring the general ledger is accurate, reconciliations are completed on time, and financial statements are prepared with precision.
• Produce timely financial reports and interpret operating results by reviewing revenue trends, spending patterns, and overall business performance.
• Lead budgeting and forecasting activities, helping management evaluate financial expectations and adjust plans based on current results.
• Manage cash flow planning and treasury-related activities to maintain liquidity and support day-to-day and strategic financial needs.
• Establish and maintain effective internal controls to safeguard assets, improve process reliability, and reduce financial risk.
• Coordinate audit readiness and compliance efforts by organizing documentation, responding to inquiries, and supporting successful review outcomes.
• Provide oversight for account reconciliation processes, including balance sheet reviews, to ensure completeness and consistency across reporting periods.
• Support the implementation of NetSuite, partnering with stakeholders to align financial processes and reporting needs with the system setup.• 7+ years of experience in accounting or finance roles with substantial responsibility for controllership or corporate accounting functions.
• Demonstrated expertise in month-end close, monthly account reconciliation, and preparation of financial statements and management reporting.
• Strong knowledge of internal controls, audit support, and financial compliance practices.
• Experience analyzing revenue, operating expenses, and cash flow to support budgeting and business decisions.
• Hands-on proficiency with NetSuite and advanced Microsoft Excel skills.
• Background in cash flow forecasting and treasury management.
• CPA designation is preferred.