Controller<p>Our client is looking to hire a Construction Controller. The Construction Controller must have relevant experience in the Construction industry and the ability to be on site daily. In this role, you will be responsible for overseeing all accounting duties, including record keeping, financial reporting and budgeting. You will work independently and provide accurate and efficient financials to the outside CPA firm they work with. You must have strong experience with QuickBooks Online.</p><p><br></p><p>As their Construction Controller, you will lead and manage the full cycle accounting and month-end close. You will manage all aspects of general ledger, credit card statements and cash flow. Record day-to-day financial transactions and complete the posting process. Ensure compliance with tax laws and other regulations. Produce monthly financial statements including cash flow, profit and loss statements and balance sheets. Manage Accounts Payable, Accounts Receivable and execute weekly payroll. Reconcile all accounts as needed, including bank reconciliations. Develop and maintain project budgets, tracking expenses and comparing them to budgeted costs. Predict future costs and expenses. Maintain relationships with customers, General Contractors, vendors and subcontractors. Coordinate activities of external auditors.</p>Controller<p>Fast growing private equity owned company is seeking a Controller of Mergers & Acquisitions as they embark on a large-scale acquisition spree to grow the company revenues. The position will play a critical role in the financial due diligence, purchase accounting, month end close and financial reporting of acquired companies. Will also have cash management responsibilities during the integration process. Successful candidate MUST have a CPA and prefers a public accounting foundation preferably out of the Big 4 or larger regional firms. Will be heavily involved in the integration of acquired companies into their NetSuite financial reporting system. Must be strong in developing board level presentation materials and demonstrated experience leading due diligence activities. Very high exposure here to the Sr. Leadership team. Company is currently remote but must be open to 3x week hybrid schedule in Bergen County area starting in Q2, as they are actively searching for office space. Great opportunity for a CPA to transition out of Big 4 transaction advisory into this private sector Controller role. The company offers a very competitive salary in the $160-200K base salary range plus bonus and potential equity depending on experience. </p>Assistant Controller<p>Mid-size division of a larger publicly traded company with a major site located in Central Morris County is seeking an Assistant Controller. This position will report to the VP of Finance, and oversee all accounting operations, month end close, variance analysis and financial reporting. This is a HANDS-ON position but will also have leadership responsibilities and oversee a team of 3 accounting professionals. Successful candidate must come from a Mid-Size company as they need to wear many hats. MUST have Manufacturing industry experience including some knowledge of cost and inventory. Experience with Government reporting or government pricing is a major plus as well. Requires advanced Excel skills and experience using ERP systems. CPA / MBA preferred but not required here. Looking for 5+ years of strong hands-on accounting experience with at least 2 years at a Management level, working in mid-size manufacturing companies Great opportunity for an Accounting Manager or a strong Sr. Accountant looking to take the next step up. Will also assist with working with the Auditors as well and year end accounting responsibilities. The company offers a competitive compensation package in the $130-160K range plus a bonus, depending on experience and including good benefits. Position is located ONSITE 5x a week. Very high exposure position with upside potential here as well. Very nice office location and environment in Morris County, NJ. </p>Assistant ControllerWe are offering an opportunity for an Assistant Controller in our team located in Fairfield, New Jersey. The role is in the Construction/Contractor industry and involves handling accounting tasks and assisting the Controller in various financial activities. <br><br>Responsibilities: <br><br>• Process and manage construction accounting tasks, including requisitions, WIP, and revenue recognition.<br>• Assist in the preparation of financial statements and provide insights on profitability and variances.<br>• Assist the Controller with bank reporting activities.<br>• Handle account reconciliations and book adjustments to recognize revenue correctly.<br>• Assist with monthly and quarterly audits to ensure financial transparency and compliance.<br>• Regularly review and monitor customer accounts and take appropriate action when necessary.<br>• Use Microsoft Excel to maintain accurate records and perform data analysis.<br>• Provide support in gathering financial data and reporting to the Controller and partners.<br>• Collaborate with the team to ensure efficient operations in the accounting department.<br>• Contribute to the improvement of accounting processes and systems within the company.Assistant Controller<p>PLEASE NOTE: THIS IS NOT A WORK FROM HOME POSITION. WE ARE IN THE OFFICE 5 DAYS A WEEK.</p><p>A growing national transportation company, located in Elizabeth, New Jersey is looking for an Assistant Controller.</p><p>The Assistant Controller position reports to the Controller and will perform accounting functions for multiple divisions under one company group. The assistant controller is responsible for providing high-level support to the Controller. This includes financial and tax reporting, net working capital management, treasury management & processing, accounts payable & vendor management, managing staff, and internal controls. This position will provide a great opportunity for hands-on experience at a growing multi-state company.</p><p>Responsibilities include:</p><ul><li>Preparing the monthly consolidated financial statements and semi-annual USGAAP financials.</li><li>Compiling and reviewing, audits, compilations, and tax returns</li><li>Treasury functions included but not limited to numerous weekly ACHs, monthly ACH, wire transactions, positive pay management, reviewing daily transactions, oversight of credit card/petty cash/debit cards, and fuel cards as well managing multiple banking relationships</li><li>Preparing and reviewing account reconciliations and investigating discrepancies to ensure accurate reporting and general ledger maintenance</li><li>Preparing month-end close procedures and identifying solutions to shorten the month-end close</li><li>Developing and documenting business processes and accounting policies to maintain and strengthen internal controls; supporting business practices for both operations and accounting, as well as testing and overseeing implementation and assuring compliance and consistency across all divisions; enforcing SOPs and documentation requirements</li><li>Ensuring the integrity of accounting information by reviewing and verifying transactions and ensuring accuracy and effectiveness in all our accounting tasks</li><li>Providing leadership and support for the accounting team; managing staff accountants</li><li>Coordinating with and oversight of Terminal Manager and Vendor Relationship Managers</li></ul><p> </p><p>Education and Experience Requirements:</p><ul><li>Bachelor’s Degree in Accounting or Finance is required</li><li>Previous experience as an Assistant Controller preferred, Accounting Manager to be considered</li><li>1+ years of public accounting experience as well as</li><li>7+ years’ experience in public and private</li></ul><p>This candidate must also have:</p><ul><li>Highly detail-oriented skill set, ability to multi-task, and assure reporting deadlines are met and ad-hoc tasks are completed</li><li>Team-oriented, excellent communicator to staff and Controller, excellent at teaching and explaining concepts to others</li><li>Multiple years managing staff</li><li>Excellent Word and Excel skills (Excel proficient, including VLOOKUP and pivot tables)</li></ul>Plant Controller<p>Our national manufacturing client in Woodbridge is a leading national manufacturer of industrial products and is seeking a dedicated and skilled Plant Controller to join their dynamic team. The Plant Controller should have ten plus years of experience in a manufacturing and plant environment. This opportunity requires a strong costing, financial reporting, inventory, and ERP systems background. </p><p> </p><p>Key Responsibilities include:</p><p>· Interfacing extensively with operations and other plants in North America.</p><p>· Expertise in Monthly Closings and Financial Reporting: You will be responsible for ensuring accurate and timely monthly closings and preparing comprehensive financial reports.</p><p>· Cost and Inventory Analysis: Experience in analyzing cost and inventory data to drive efficiency and profitability is essential.</p><p>· Process Improvement: As part of our commitment to continuous improvement, you will be tasked with identifying and implementing policies and procedures to enhance our financial operations.</p><p>· Database Analysis and Management: Proficiency in database management and analysis tools will be crucial for success in this role.</p><p>· Budgeting and Internal Controls: You will play a key role in budget preparation and review, as well as assessing and enhancing internal controls to safeguard company assets.</p><p><br></p><p>The company offers an excellent opportunity for growth along with a strong bonus and benefits package. To apply email a resume to Robert Half International. Or call Rich Singer, CPA at 848-202-7970 to discuss this excellent opportunity.</p>Assistant Controller (NON-PROFIT)<p><strong>POSITION: ASSISTANT CONTROLLER (NON-PROFIT)</strong></p><p><strong>LOCATION: SHELTON, CT </strong></p><p><strong>RECRUITER CONTACT: KELLEIGH MARQUARD - <em>Kelleigh.Marquard@Roberthalf</em></strong></p><p><br></p><p>We are seeking an Assistant Controller for our valued Client, a thriving Non-Profit Organization in the Shelton, Connecticut area. This role is integral to our Client's Finance Leadership team, with responsibilities including managing accounting functions, utilizing ERP and accounting software systems, preparing financial statements and assisting in overseeing both Accounts Payable and Receivable. The successful candidate will also be expected to contribute to the auditing and budget processes. This wonderful organization is known for its good works in the community as well as offering career growth and excellent work/life balance for its employees.</p><p><br></p><p><strong>Responsibilities:</strong></p><p>• Manage daily accounting functions to ensure accurate financial records</p><p>• Utilize Accounting Software Systems and Enterprise Resource Planning (ERP) solutions effectively for financial operations</p><p>• Oversee Accounts Payable (AP) and Accounts Receivable (AR) to ensure all transactions are processed accurately and in a timely manner</p><p>• Conduct auditing processes to identify any discrepancies or areas for improvement</p><p>• Participate in budget processes, providing key data and insights to support strategic financial planning</p><p>• Resolve any issues or inquiries related to accounting functions promptly and professionally</p><p>• Monitor and evaluate financial data, ensuring compliance with relevant regulations and standards.</p><p>• Prepare and analyze financial statements</p><p>• Assist in the month end, quarter end and year-end financial close process</p><p>• Perform fund accounting and reporting as is relates to grants and donations received</p>Controller<p>The Controller will be integral in maintaining our financial health, preparing and reviewing budget forecasts, and ensuring our financial reports are accurate and timely. </p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Efficiently and accurately handling the preparation and issuance of monthly financial reports, along with necessary supporting documentation.</p><p>• Conducting regular analysis to identify variances from budget and promptly escalating significant issues to the management team.</p><p>• Leading the annual corporate budget preparation and quarterly forecasts in line with corporate schedules.</p><p>• Preparing weekly cash flow forecasts to aid Corporate Treasury operations.</p><p>• Creating and presenting financial reports for key stakeholders, including but not limited to monthly financial reports, annual budgets, and quarterly price reviews.</p><p>• Developing, calculating, and issuing reports on financial and operational metrics.</p><p>• Utilizing accounting software systems such as 3M, ADP - Financial Services, and CRM for efficient financial management.</p><p>• Overseeing accounting functions, including accounts payable and receivable, and auditing procedures.</p><p>• Managing budget processes and using tools like Crystal Reports for financial analysis</p>Controller<p>We are offering an exciting opportunity for an experienced Controller to join our team in Darien, Connecticut. The chosen candidate will play a critical role in managing our financial activities, including accounts receivable, payable, payroll, and month-end closing. You will also be expected to actively participate in planning, budgeting, and forecasting, while ensuring compliance with tax requirements. This role will require a high level of interaction with various internal departments and the CEO.</p><p><br></p><p><strong><u>Responsibilities</u></strong></p><p>• Execute all functions related to accounts receivable and accounts payable</p><p>• Oversee the accurate and efficient processing of payroll, monthly commissions, and bonuses</p><p>• Take the lead in managing working forecasts, models, and budgets in coordination with internal departments and the CEO</p><p>• Prepare detailed reports on the financial performance of the company and provide insightful recommendations</p><p>• Establish, monitor, and enforce internal controls to protect assets</p><p>• Implement processes to review, assess, and optimize spending with an aim to increase EBITDA</p><p>• Ensure compliance with federal, state, and local tax requirements</p><p>• Work closely with the accounting firm to prepare and file necessary tax documents</p><p>• Manage the internal finance team and ensure all financial tasks are performed efficiently</p><p>• Manage company budgets and investor initiatives.</p>ControllerWe are offering an exciting opportunity in the legal industry for a Controller role in New York. The role will involve overseeing the accounting team, interacting with attorneys, and direct communication with partners.<br><br>Responsibilities:<br><br>• Providing leadership to the Accounting team, including a part-time bookkeeper, Billing Assistant, Collections Specialist, and Accounting Clerk.<br>• Handling all aspects of general ledger, including closings and monthly reporting.<br>• Ensuring accurate and efficient processing of disbursements and billing.<br>• Overseeing Accounts Payable and Accounts Receivable.<br>• Reviewing and posting time submissions.<br>• Involvement in domestic trusts and estates, international tax, matrimonial and family law, accounting, litigation, and dispute resolution.<br>• Preparing and auditing financial statements.<br>• Managing and overseeing budget processes.ControllerWe are on the hunt for a Controller to join our team in the Real Estate & Property industry, located in New York. In this role, you will be tasked with managing financial reporting for multiple entities, ensuring the precision of customer credit records, and effectively dealing with customer inquiries. <br><br>Responsibilities:<br><br>• Navigating the full General Ledger, executing Trial balance, and performing account reconciliations<br>• Posting Reclasses and Accruals to maintain accurate financial records<br>• Preparing Profit & Loss statements and Balance Sheets to track financial performance<br>• Managing Cash Flows to ensure optimal utilization of resources<br>• Conducting Bank Reconciliations to verify the accuracy of financial data<br>• Assisting in Budget processing and forecasting, along with variance analysis for effective financial planning<br>• Executing Month-End Closings to finalize financial records for each period<br>• Utilizing Accounting Software Systems and ERP - Enterprise Resource Planning for efficient financial management<br>• Overseeing Accounting Functions including Accounts Payable (AP) and Accounts Receivable (AR) to ensure financial transactions are processed accurately<br>• Conducting Audits to ensure compliance with DCAA regulations and maintain financial integrity.Controller<p>A thriving Hospitality organization has a new opening for a Controller. This high-profile role is a once in a lifetime career opportunity and will allow you to play a key role supporting the overall success of the business.</p><p> </p><p>Responsibilities of this role will include:</p><p>- Overseeing operations of the accounting department, and supervising the AP and AR teams</p><p>- Preparing consolidated financials</p><p>- Developing accounting processes, including documentation of policies and procedures</p><p>- Coordinating annual audits</p><p>- Overseeing quarterly and year-end closings</p><p>- Reviewing monthly reconciliations of balance sheet accounts</p><p>- Assisting with production of the annual budget, forecasts, and reforecasts</p><p>- Performing ad hoc duties as needed</p>Controller<p>Controller opening for a well-established NJ based distribution company. Controller responsibilities include month end closing, financial preparation, P& L reviews, inventory management, budgeting and forecasting, assist with yearend audit and dealing with outside audit firm. Ideal candidate will have 8 plus years of hands-on accounting and reporting experience preferably in the manufacturing and distribution industry. Any experience with QuickBooks is a plus. This role will manage the accounting team and the accounting process with direct exposure to ownership for decision making. This opportunity has a base salary plus bonus program based on individual and company performance along with a solid overall benefits plan. </p>Controller<p><strong>Global commercial product manufacturer seeks a Controller to replace retiring current Controller/CFO. As the top financial person reporting to the owner, you will be responsible for m/e, q/e financial statement preparation and review, work with operations on any financial issues, including tracking of inventory and proper costing of inventory, oversight of a/p, a/r and p/r. Work with outside CPA, banks, insurance providers to ensure smooth financial operations. Candidates must have strong IT skills, including MS Dynamics, degree in accounting or finance and 15+ years of experience in above areas. </strong></p>Plant Controller<p>Are you an experienced financial professional with a strong background in manufacturing accounting, cost control, and inventory management? Do you thrive in an independent role and have the ability to analyze budgets and capital improvements? We have an exciting opportunity for you to take charge as a Plant Controller at our client’s manufacturing facility in Rahway, NJ.</p><p><br></p><p>Key Responsibilities:</p><ul><li>Ensure compliance with accounting standards and company policies.</li><li>Prepare accurate financial statements and detailed analyses for management review.</li><li>Develop and track key performance metrics for plant financial performance.</li><li>Oversee and manage all financial activities within the plant, including cost accounting, inventory management, and reporting.</li><li>The company offers an excellent compensation and benefits plan. To apply email a resume in a Word format to Robert Half. Or call Rich Singer, CPA at 848-202-7970 to discuss this excellent opportunity.</li></ul>Controller<p>Mid-size manufacturing company with global headquarters located in Northern Morris County is seeking a Controller. This position will be responsible for overseeing the financial operations of the manufacturing facility along with the books and records of 5 subsidiary companies. Candidate will develop and maintain financial records and budgets, manage inventory and cost accounting, and ensure compliance with accounting and tax regulations. Will have an accounting or finance degree and 5+ years of accounting experience along with experience in a manufacturing company. Prefer candidates that started in public accounting in an Audit Role before transitioning to corporate accounting. Strong accounting software skills and any experience with EPICOR is a plus as well. Must have experience working with Inventory. Will also assist with working with the Auditors as well and year end accounting responsibilities along with good presentation skills as well. The company offers a competitive compensation package in the $150-180K range depending on experience and including good benefits. Very nice office location and environment in Northern NJ as well. </p>Controller<p><b>Growing national law firm seeks a Controller to join their Accounting and Finance department. Supporting the CFO in their day to day responsibilities, m/e, q/e, y/e close, oversee a/p, a/r, p/r, trust accounting, working with their banking partner to fund accounts payable, preparation of internal and external financial statements. Ability to provide insight as to correcting policies and procedures would be a huge plus. CPA ++. Prior experience from a professional services business (time & billing), 10+ years of progressive accounting experience, managerial skills and strong systems skills are ++.</b></p>Controller<p>A rapidly growing ecommerce business in Pompton Lakes, NJ is currently seeking a small company Controller to join their organization to help with cleaning up and establishing a well-organized accounting operation. The Controller will partner directly with the owner and COO to initially cleanup backlog of reconciliations, drive the year-end close for 2024, and complete a migration from QuickBooks Enterprise to QuickBooks Online. Responsibilities will include creating a Chart of Accounts and setting up the general ledger, linking and tracking multiple bank accounts and corporate credit cards, and establishing an effective means of tracking inventory on-site versus at 3rd party facilities. The ideal Controller must have experience working in Ecommerce, integrating with Amazon fulfillment databases, and building sound GAAP compliant accounting operations. Experience working in both QuickBooks Enterprise and QuickBooks Online is also required. </p><p> </p><p>If you are interested in applying for this contract to full-time, small company Controllership role, please contact David Serrano at Robert Half Management Resources (551-307-0316 or david.serrano@roberthalf.).</p>Controller<p>We are offering an opportunity for an interim Controller in the service industry. In this role, you will be entrusted with the task of managing high-impact accounts, overseeing payroll, and coordinating project deliverables. This position offers a short-term contract employment opportunity.</p><p><br></p><p>Responsibilities:</p><p>• Oversee and manage high transaction/high impact accounts</p><p>• Handle payroll accounts ensuring accuracy and efficiency</p><p>• Carry out Balance Sheet Account Reconciliation</p><p>• Coordinate and manage project deliverables</p><p>• Utilize Sage Intacct for various accounting tasks</p><p>• Employ Microsoft Excel for data organization and analysis</p>Controller<p>Interim Controller role- Non-Profit Client! Position is five days per week on-site in Midtown, NYC with a potential for hire.</p><p><br></p><p>Responsibilities:</p><p>Overseeing policies, procedures, and documentation of all accounting and financial reporting activities;</p><p>Ensuring continued sustainability of all financial information, processes, and systems through proper documentation and training;</p><p>Managing general ledger accuracy, cash flow projections, and the full calendar of accounting-related activities; </p><p>Being responsible for all cash receipts from all sources posted to the General Ledger including cash, checks, incoming wires, ACH deposits, and credit card deposits, and oversee the fiscal year end close;</p><p>Overseeing monthly budget reports; monitor actual results compared to budget through the year; facilitate a timely monthly close; assist departments in managing resources; and monitor actual results;</p><p>Overseeing financial reconciliations including investment, and endowment, auxiliary programs, and ensure development accounts are accounted for accurately and appropriately; </p><p>Managing and leading a team of approximately (7) professionals </p><p>Working and partnering directly with the auditors to mandate the annual financial statement;</p><p><br></p><p><br></p>ControllerWe are offering an exciting opportunity in New York for an organized and detail-oriented Controller. The Controller will be tasked with managing and optimizing financial operations, implementing accounting systems, producing financial reports, and ensuring regulatory compliance. The position involves working closely with the VP of FP& A to ensure smooth financial operations. <br><br>Responsibilities:<br><br>• Oversee the processing of accounts receivable, ensuring timely invoicing and payment collection.<br>• Collaborate with the VP of FP& A to maintain the financial stability of the organization, from forecasting to reporting.<br>• Conduct regular audits to ensure the accuracy and efficiency of our financial systems, including HubSpot and QuickBooks.<br>• Manage the preparation and delivery of monthly, quarterly, and annual financial statements.<br>• Prepare, edit, and finalize contracts with precision, ensuring compliance with company standards.<br>• Collaborate with the revenue team on contract renewals, expansions, and upsells, ensuring no detail is overlooked.<br>• Manage invoicing for executed contracts, ensuring accurate billing and timely delivery.<br>• Maintain accurate and up-to-date HubSpot deal data, ensuring readiness for action.<br>• Identify and implement strategies to improve cash flow and client payment timelines.<br>• Support special projects, such as creating annual sales reports, refining operational systems, and providing financial insights to the VP of FP& A.<br>• Ensure the efficiency and accuracy of our internal network and other operational tools.<br>• Act as a resource for new ideas, looking for ways to optimize processes and improve operations.<br>• Oversee cash flow management to ensure liquidity and optimize working capital.Controller<p><strong>Corporate Controller</strong></p><p><br></p><p><strong>Position Overview:</strong></p><p><strong>Our client, a leader in their industry, is seeking a Corporate Controller, General Ledger</strong> to join their Finance Group. Reporting to the Chief Accounting Officer, this role oversees the general ledger month-end close, group consolidation, accounts payable, and technical accounting processes. The position involves managing both domestic and offshore teams and working closely with international accounting teams and cross-functional partners. This role is ideal for someone who thrives in a fast-paced environment and enjoys tackling complex challenges under tight deadlines.</p><p><br></p><p><strong>Key Responsibilities:</strong></p><ul><li>Oversee the month-end close process and group consolidation with a focus on accurate financial reporting and adherence to US GAAP.</li><li>Manage close tools, ensuring accountability for close timelines across accounting teams.</li><li>Review and approve journal entries, account reconciliations, intercompany reconciliations, and purchase accounting entries.</li><li>Ensure consistent revenue and expense recognition across all entities.</li><li>Review consolidated income statements and balance sheet analytics on a monthly basis.</li><li>Collaborate with the financial planning and analysis team on reporting and analytics.</li><li>Partner with M& A accounting teams and external valuation firms on business combination valuations and accounting.</li><li>Oversee the accounts payable process, driving efficiencies in collaboration with procurement, technology, and business teams.</li><li>Prepare technical accounting position papers and document policies and procedures.</li><li>Lead automation and finance transformation projects and support integration of acquired entities and foreign operations.</li><li>Monitor developments in accounting and reporting regulations, assessing their impact.</li><li>Create and distribute accurate internal reports to stakeholders.</li><li>Maintain effective controls, policies, and procedures over month-end activities.</li><li>Manage and develop a high-performing accounting team.</li><li>Assist in preparing US GAAP financial statements and disclosures.</li><li>Collaborate with internal audit teams on controls and external auditors on financial audits and statutory audits.</li><li>Take on other duties and ad-hoc projects as needed.</li></ul><p><strong>Skills and Competencies:</strong></p><ul><li>Advanced knowledge of US GAAP, including business combinations and consolidation accounting (required).</li><li>Strong communication, organizational, and attention-to-detail skills.</li><li>Ability to handle multiple projects and tight deadlines.</li><li>Analytical and decision-making expertise.</li><li>Advanced Excel skills (required).</li><li>Experience with systems like Oracle, Coupa, Workiva, and FloQast (a plus).</li></ul>Controller<p>A New York City based investment and real estate company in Midtown New York seeks a Controller for their family office. This is a hands-on role handling accounting and operation issues. This opportunity is open due to the retirement of the incumbent. The Controller will start in the office with the potential of working a day from home after several months. This will work closely with the President and other family members. Experience in a similar environment is preferred. A strong proficiency in QuickBooks is also preferred.</p><p> </p><p>Major responsibilities include:</p><p>-Special projects for the CEO.</p><p>-Performing the investment accounting and analysis functions.</p><p>-Handling all accounting and reporting functions.</p><p>-Reviewing and assisting the outside auditing firm on tax and audit issues.</p><p> </p><p>The company offers an excellent benefits and compensation package. To apply email a resume in a Word format to Robert Half. Or call Rich Singer, CPA to discuss at 848-202-797</p>Controller<p>A rapidly expanding manufacturer in Westfield seeks a Controller with seven plus years of experience in a manufacturing company. This is a newly created opportunity due a recent acquisition. Prior experience with inventory, plant accounting, and costing is required. Prior experience using NetSuite is preferred but not required. The Controller will supervise three staff accounting professionals. Responsibilities include:</p><p>• Monthly closings and financial reporting</p><p>• Budgeting and forecasting</p><p>• Inventory and cost accounting functions</p><p>• Working with outside auditing firm on annual audit</p><p>• Reporting directly to the CEO</p><p>• Special projects as requested</p><p>The company offers an excellent compensation and benefits package. To apply email a resume to Robert Half International. Or call Rich Singer, CPA at 848-202-7970.</p><p>The company is motivated to fill this opportunity by the end of this year.</p>ControllerWe are seeking a Controller to join our team in West Caldwell, New Jersey. This role involves setting up a formalized function for our business to business distribution company, which is currently in an exciting phase of expansion through acquisitions. As a Controller, you will have hands-on experience dealing with the integration of acquired entities, adopting policies and procedures across the entire entity, and assisting in the due diligence of targeted companies.<br><br>Responsibilities<br>• Establish and oversee the foundational accounting and finance group with scalability in mind.<br>• Handle the integration of entities acquired, ensuring smooth transition and alignment with our existing operations.<br>• Develop and implement policies and procedures across the entire organization.<br>• Assist in the due diligence process for potential company acquisitions.<br>• Oversee the installation of a new ERP system to enhance business efficiency.<br>• Supervise day-to-day accounting operations, including accounts payable and accounts receivable.<br>• Prepare comprehensive financial reports, providing detailed insights into COGS, profit margins, client profitability, and organizational profitability.<br>• Utilize accounting software systems for accurate financial management and reporting.<br>• Engage in auditing processes to ensure financial transparency and compliance.<br>• Contribute to budget processes, providing expert advice and analysis.