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3 results for Controller in Phoenix Az

Finance Manager/Controller This Finance Manager role offers a dynamic opportunity to contribute financial insights and support decision-making within an operational environment. The position involves managing financial processes, analyzing performance, and delivering relevant financial forecasts and reports. You will play a key role in ensuring financial accuracy and compliance while contributing to the strategic planning of our client's manufacturing site. Key Responsibilities: Financial Management: Oversee accounting operations, including accounts payable, accounts receivable, cost accounting, capital expenditures, inventory, and risk management. Month-End Close: Lead and ensure precise month-end closing activities, including balance sheet reconciliation. Corporate Financial Reporting: Prepare and submit essential reports such as budgets, forecasts, cash flow estimates, and variance analyses for the corporate team. Strategic Financial Planning: Develop and manage annual budgets, quarterly forecasts, and long-term financial models. Cash Flow Management: Maintain and prepare short-term (13 weeks) cash flow forecasts. Stakeholder Collaboration: Partner with regional leadership to align financial outcomes with corporate goals. Compliance & Controls: Establish and uphold accounting processes, internal controls, and regulatory compliance, including tax filings. Insights & Decision Support: Provide detailed financial analysis, variance explanations, and actionable insights to improve business performance. Team Leadership: Supervise, mentor, and develop a high-performing finance team. Qualifications: Bachelor’s degree in Finance, Accounting, or Economics (MBA preferred) with 7+ years of finance experience, including 2 years in manufacturing. Advanced financial modeling, cost accounting, and analytical expertise; detail oriented certifications such as CMA or CPA are a plus. Proficiency in ERP systems, with the ability to extract and analyze large datasets Expertise in Microsoft Office Suite, particularly Excel and PowerPoint, with experience in financial consolidation tools (e.g., Hyperion). Ability to work independently and collaboratively, tackling challenges with a solution-focused mindset. This role is ideal for a finance detail oriented ready to drive improvements, ensure compliance, and lead a team in a fast-paced manufacturing environment. Financial Analyst Intermediate (3-6 years) We are offering a permanent employment opportunity for a Financial Analyst Intermediate in Tempe, Arizona. This role is situated in a fast-paced environment and requires an individual skilled in financial analysis, data analysis, and decision-making processes. <br><br>Responsibilities:<br>• Analyze and prepare financial operations and statements, applying principles of finance.<br>• Maintain accurate records in the database and generate reports for analysis.<br>• Utilize tools like Tableau, COGNOS, Alteryx, and Excel (e.g., pivot tables, lookups) to facilitate data analysis.<br>• Communicate effectively with senior managers and regulators, and work independently to make decisions.<br>• Identify opportunities to automate manual processes and implement the changes.<br>• Develop new reports or metrics to meet internal or external requirements.<br>• Collaborate with cross-functional teams such as Market Risk Coverage, Product Controllers, Technology, Compliance, and Audit for report production, migration testing, and project execution.<br>• Lead multiple projects and reporting needs by coordinating with teams across the globe.<br>• Ensure periodic review of reports and maintain relevant documentation.<br>• Identify control gaps, improve controls and resolve issues promptly. Associate Portfolio Manager We are offering a contract-to-permanent employment opportunity for an Associate Portfolio Manager in Scottsdale, Arizona. The role would entail the diligent organization and management of client portfolios, coupled with proactive monitoring and analysis. The industry you will be working in is finance, and your workplace will be a dynamic and fast-paced environment.<br><br>Responsibilities:<br>• Implement portfolio rebalancing and treasury bond rebalancing<br>• Ensure the organization and maintenance of client portfolios and models<br>• Monitor cash levels, NSF alerts, and prevent fraudulent activities<br>• Assist in conducting comprehensive research and analysis<br>• Handle tax loss management efficiently<br>• Communicate portfolio changes and provide commentary to clients as needed<br>• Conduct portfolio reviews when necessary<br>• Assist in creating preparation and presentation materials for prospects<br>• Aid in the preparation of financial plans<br>• Review monthly trade blotters and ensure their accuracy<br>• Assist in the onboarding process of new clients<br>• Possess or be willing to study for and pass the Series 65 license<br>• Utilize skills in Portfolio Administration and Pre-trade.