| Employer: | TestOut Corporation |
| Job Location: |
Pleasant Grove - Utah County |
| Employment Type: | Full Time |
| Salary Range: | DOA |
| Benefits: | Holiday/Vacation pay, Medical/Dental/Life insurance, 401(k) with matching, etc. |
Description: |
TestOut Corporation has an immediate opening for the position of Controller. The Controller will be responsible for the proper recording and accounting of all financial transactions, including the establishment and maintenance of an internal control structure. The Controller is also responsible for the preparation and analysis of the monthly, quarterly and annual financial statements, and related regulatory filings. In addition, the position is responsible for planning, budgeting and financial forecasting and analysis, as well as some treasury management.
The Controller will regularly meet and communicate with TestOut’s executive team and will report directly to the President. |
Duties: |
•Become familiar with and implement the objectives of the strategic plan of the Company.
•Direct and have responsibility for all accounting processes and records.
•Direct and have responsibility for financial reporting on a monthly, quarterly and annual basis.
•Responsible for the internal control of the Company, insuring internal controls are working efficiently and in accordance with best practices.
•Confer with the executive committee on all aspects of accounting and financial reporting procedures and responsibilities.
•Direct the maintenance and operation of the accounting system.
•Supervise personnel over procurement, accounting, and compliance and assist with technical problem solving as appropriate.
•Direct the budgeting process and input and review budgets in the accounting system.
•Prepare daily and weekly cash sources and needs analysis
•Proactively prepare trend analysis models using various economic tools, and other industry indicators to adequately detect trends, downturns, and cycles and make recommendations to the executive committee as to appropriate management of budgets and cash.
•Conduct research relevant to financial and market issues
•Be able to review various financing options and prepare suggestions to the executive committee for long-term financing needs.
•Prepare regular and ad hoc analyses and reports related to existing or prospective business opportunities and projects. These analyses and reports include:
◦Creation of financial models that facilitate project evaluation, as well as presentation to clients and others for proposal and educational purposes
◦Comparisons and analysis of various financial metrics related to existing and prospective projects
◦Financial dashboard reporting and daily project status and performance reporting
•Prepare and keep current a 12 month rolling forecast of revenue sources and cash needs |
Qualifications: |
•Master of Accountancy
•Certified Public Accountant and/or Certified Management Accountant
•Minimum of five to eight years of combined public accounting and industry experience, including experience as an assistant controller or equivalent.
•Possess excellent management and supervisory skills.
•Work well with others and have excellent problem solving capabilities, as well as an ability to resolve and work through conflicts in a logical manner.
•Understand cash management policies and analysis, and be able to perform a variety of complex accounting and cash control techniques.
•Knowledge of the planning and budgeting process.
•Must be able to perform mathematical computations rapidly and accurately, including financial modeling.
•Must understand strong internal control systems.
•Must have excellent understanding of general ledger accounting.
•Must have excellent financial reporting skills and understand regulatory reporting requirements.
•Must have a good understanding of various financing techniques and options, such as bonding, loan financing, and leasing options. |