Tag Software Group is looking for a dynamic Financial Controller to join their team. The successful candidate will coordinate and manage period-end close, budgeting and forecasting, statutory audits, and oversee all financial aspects of a fast-growing business unit while ensuring accurate financial reporting and analysis for a portfolio of acquired companies.
Requirements
- Prepare and present monthly, quarterly, and annual financial statements and reports.
- Develop, manage, and update forecasts (monthly, quarterly, and annual) and track key financial KPIs.
- Monitor and analyze performance strategies to identify improvement opportunities, ensuring execution to meet and exceed financial targets.
- Ensure a positive cash flow for the portfolio by monitoring financial health and liquidity.
- Organize and oversee statutory audits, ensuring timely filings and compliance.
- Develop strategies to improve return on investment (ROI) and profitability.
- Ensure compliance with all tax and regulatory requirements and maintain effective financial internal controls.
- Partner with the corporate finance department to ensure alignment on broader financial strategies and objectives.
- Maintain high-level interaction with the corporate finance department.
- Lead financial onboarding and integration of newly acquired businesses.
- Execute ERP implementations, account mapping, and reporting alignment.
- Prepare purchase price allocations and opening balance sheet accounting.
Benefits
- Competitive salary and benefits package.
- Professional Development & Training Reimbursement Program.
- Flexible paid time off.
- High-Growth Environment – Work in a fast-scaling portfolio with constant learning opportunities.
- Collaborative Culture – Work with dynamic, forward-thinking professionals who value curiosity and innovation.
- AI & Tech-Driven Mindset – Be at the forefront of finance automation and innovation.
- Global Exposure – Engage with businesses across North America, Europe, and beyond.