Assistant Controller
Fresh Prints
Job highlights
Summary
Join Tsunami Express, a rapidly growing express car wash platform, as their highly motivated Assistant Controller. In this critical role, you will work with the accounting team to ensure the integrity of financial operations. Key responsibilities include processing transactions, completing month-end close reconciliations, preparing financial statements, collaborating with partners, and managing cash. You will thrive in a fast-paced environment, ensuring accuracy in financial records and processes. This remote position offers the flexibility of working US East Coast shift timings. If you are a passionate accounting professional with strong problem-solving skills and experience in a wide range of accounting activities, this is the perfect opportunity for you!
Requirements
- 4-5 years of professional accounting experience or 1-2 years of experience in public accounting auditing
- Proven ability to thrive in a fast-paced environment
- Strong understanding of bookkeeping and accounts payable principles
- Experience with accounting entries and financial record management
- High level of attention to detail and the ability to translate detailed information into actionable insights
- Strong communication and interpersonal skills to collaborate with internal and external teams
- Self-directed, eager to learn and solve problems, with a commitment to enhancing customer experience
- Bachelorβs degree in Accounting required
Responsibilities
- Work within a dynamic and lean accounting team to support a rapidly growing business, creating value through efficient financial reporting, cash management, auditing, balance sheet management, expense processing, and other financial activities
- Collaborate with accounts payable to review invoices, expense reports, and capital expenditures, ensuring proper accounting, coding, and approval
- Ensure compliance with accounting regulations, company policies, and industry standards
- Handle daily financial transactions by verifying, classifying, computing, posting, and recording account data
- Reconcile bank statements and accounts to ensure all payments are accounted for and properly posted
- Support month-end close activities, including account reconciliations, adjusting entries, monthly accruals, and financial reporting
- Assist in year-end audit preparation and ensure timely and accurate financial statements
- Help implement new accounting systems and procedures to streamline operations and improve efficiency
- Collaborate with other departments and external partners to ensure alignment with financial goals
- Support Finance & Accounting special projects as needed to contribute to our growing business
Preferred Qualifications
Advanced proficiency in Excel; experience with NetSuite is a plus
Benefits
- Remote work
- Flexible hours (US East Coast shift timings)
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