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What We’re Hiring For:

inDinero is looking for a talented and motivated Controller who thrives in a fast-paced culture, and wants to contribute to the growth and success of the company. Reporting to our CFO, you will manage the finance team, ensuring efficient accounting operations, strong internal controls and accurate financial reporting. Partnering with colleagues in the Philippines, you will consolidate financial information for internal and external financial statements, conduct forecasting and analysis, and convey recommendations to senior leadership. If you are someone who possesses strong analytical skills, exceptional problem-solving know-how, and exemplify an excellent leader, this position may be for you.

 What You’ll Do:

  • Develop and communicate reporting and analysis that senior leadership can use to effectively manage the business
  • Work directly with all regions and international colleagues to ensure financial accountability and timely information aligns to corporate deliverables
  • Manage investor and lender reporting packages and banking relationships
  • Implement predictive analysis and forecasting metrics to help guide operational decision making
  • Ensures compliance with financial policies and internal control processes
  • Coordinates annual audit with external auditors and leads the preparation of audit schedules, data, and information
  • Supervise and direct daily responsibilities of accounting and finance team
  • Optimize working capital through continued integration of the billing and invoice system and proactive receivables management.
  • Oversee Accounts Payable ensuring accurate and efficient processing
  • Assure the quality and timeliness of the financial reports
  • Analyze monthly results and report to senior management
What You’ll Need:

  • 7-10+ years of progressive accounting experience required
  • 3+ years of management experience required
  • CPA and/or MA Accounting preferred
  • Experience in public accounting ideal
  • Experience in a professional services industry setting a plus
  • Ability to work effectively in a virtual environment with financial team and others across the US and overseas
  • Understanding of capital structure; debt and equity financing
  • Familiarity with purchase accounting and acquisition integration
  • Versed in forecasting, budgeting and data analysis
  • Skilled at to working with and integrating multiples systems; experience with Netsuite, Openair, and Quickbooks ideal
  • Expert proficiency in Excel
  • Must be “hands on” with a keen eye for detail and “can do” attitude
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