A respected professional services organization is seeking a driven Controller to lead its financial operations. This is an opportunity to play a key role in the company’s growth trajectory, partnering closely with leadership to provide critical financial insights and drive operational excellence.


Controller Benefits & Compensation

  • Competitive salary based on experience
  • Comprehensive health, dental, and vision coverage
  • 401(k) plan administration and participation
  • Opportunities for professional growth and advancement
  • Collaborative, values-driven work environment


Controller Requirements & Qualifications

  • 5–7+ years of accounting experience, ideally within a marketing agency, creative services, or professional services setting
  • Strong command of GAAP and financial reporting best practices
  • Significant experience with month-end close, account reconciliations, and financial reporting
  • Expertise in Microsoft Office Suite, especially Excel
  • Demonstrated problem-solving abilities and deadline management
  • Excellent written and verbal communication skills
  • High level of organization and attention to detail
  • Proven accountability and professionalism


Controller Preferred Background & Skills

  • Experience working with the WorkBook accounting platform
  • Familiarity with Keynote presentations
  • Previous involvement supporting operational growth in a scaling business


Controller Day-to-Day Responsibilities

  • Oversee all bookkeeping and transaction recording, ensuring accuracy and compliance for operations and taxes
  • Manage accounts payable, vendor payments, and reconciliation processes
  • Monitor employee expenses and corporate credit card activity, including fraud and balance oversight
  • Lead monthly bank and account reconciliations and ensure integrity of financial records
  • Manage the full month-end close process, including journal entries, intercompany transactions, COGS calculations, and reconciliations
  • Administer payroll and 401(k) plan, including new hire setup and compliance reporting
  • Develop and maintain cash flow forecasts and contribute regular financial reports for leadership
  • Support audit preparation, process improvements, and ad hoc strategic financial analysis alongside the CFO


This role is ideal for a motivated finance professional seeking meaningful impact and growth within a vibrant, forward-thinking team.