What Is A Remote Controller Jobs in Usa
478 positions found — Page 2
Location: American Magic High-Performance Center in Pensacola, Florida
Reports to: Chief Executive Officer, American Magic Services
Overview: American Magic is a multi-platform high-performance organization with roots as the U.S. America's Cup team and a future that spans advanced manufacturing, elite global sport, and a mission to promote the sport of sailing and sailing excellence. We are seeking an accounting and finance professional who can oversee accounting and finance operations across three distinct but interrelated platforms:
- American Magic Services (AMS) – A manufacturer and designer of carbon fiber parts and products for the aerospace and marine markets;
- ROCKWOOL Racing (Danish SailGP Team) – A recently acquired global professional sports team competing in the fast-growing SailGP league; and
- American Magic 501(c)(3) – A nonprofit organization supporting high-performance sailing in the U.S.
The Controller and Finance Director will play the lead role in centralizing and establishing finance and accounting operations and support each platform in achieving its objectives.
Key Responsibilities:
Enterprise Financial Leadership
- Centralize financial activities and establish strong financial processes and a control framework
- Implement and manage financial systems
- Build financial frameworks and reporting that actively manage cash and costs and allow leadership to make informed decisions, balancing the objectives across the platforms
- Manage and optimize insurance coverage for American Magic
- Work closely with external partners (auditors, tax advisors, legal counsel, banking relationships)
American Magic Services (Advanced Manufacturing & Design)
- Lead accounting, reporting, and forecasting for a ~$10M revenue business with strong growth ambitions toward ~$20M+
- Support scaling from ~40 employees to 100+ by implementing robust project accounting, labor efficiency, and margin management systems
- Partner with the operating team:
-Enhance project profitability through project costing, costing management, bid pricing and contract structures
-Assess capital expenditures, tooling investments, and facility utilization as part of its growth strategy
ROCKWOOL Racing (SailGP Team)
- Lead and execute financial operations and reporting for a professional sports team in the fast-growing SailGP global racing league
- Support the CEO and Chief Sales Officer with:
-Sponsor ROI modeling and reporting
-Model financials tied to new sponsorships or cost cap changes
- Support team to achieve profitability while climbing the league table
American Magic 501(c)(3)
- Ensure strong governance, compliance, financial stewardship, and reporting of the nonprofit entity
- Oversee budgeting, reporting, and donor-restricted fund management
- Coordinate clean and appropriate financial boundaries between the nonprofit and for-profit entities
- Support transparency and credibility with donors, partners, and board members
Experience & Background
- CPA
- 8-10+ years' experience in accounting and finance, including experience in a controller role
- Strong preference for experience in manufacturing and project-based services
- Demonstrated experience in process and systems implementation
- Experience shepherding organizations through periods of growth and increasing complexity
Skills & Personal Attributes
- Thrives in small team, start-up environments
- Comfort and interest in balancing leading and doing
- Energized by the American Magic's mission; a strong sense of stewardship
- Comfort operating across multiple business models simultaneously
- Robust finance, forecasting, accounting, and reporting skills
Compensation package: Market-based compensation commensurate with experience
Korn Ferry has partnered with our client on their search for a Controller/CFO.
Company Description:
Well-funded and stable PE-backed Construction organization based in beautiful Southwest Colorado (Cortez / Durango area).
This is the top Finance & Accounting role, reporting to the GM.
Responsibilities:
- Own all aspects of operational accounting / financials (month end etc.)
- Partner with Project Managers to review project forecasts and roll that financial information into WIP reporting
- Manage team and processes
- Execute all ViewPoint admin responsibilities
Qualifications:
- Strong experience in Construction accounting (WIP, POC)
- Strong GAAP and FASB
- CPA Preferred
- Min 7 years total experience, including a min of 5 years in a management role
Salary Range: $130-$150k + relocation package as needed
Benefits: 401k match, health / dental / vision
SE#510782287
Corporate Controller – Commercial Mechanical Services
Onsite | Salt Lake City, UT
$175,000 – $200,000 Base Salary + Performance Bonus
Confidential Search
Lead. Build. Grow.
A rapidly growing, multi-location commercial mechanical services organization is seeking an experienced Corporate Controller to lead and scale its accounting and financial reporting functions. This is a high-impact leadership role with significant visibility to executive leadership and the opportunity to shape the financial infrastructure of a company experiencing strong organic and acquisitive growth.
This position is ideal for a finance leader who thrives in fast-paced environments, enjoys building teams and systems, and wants to play a key role in guiding business strategy.
What You’ll Do
Financial Leadership
- Oversee monthly, quarterly, and annual financial reporting for a multi-entity organization
- Deliver timely, accurate financial statements and KPI dashboards to support executive decision-making
- Ensure the integrity of financial reporting across multiple operating locations
Internal Controls & Compliance
- Strengthen internal controls and financial processes
- Lead external audits and manage tax compliance
- Ensure adherence to accounting standards and regulatory requirements
Team Development
- Lead, mentor, and develop a growing accounting team
- Establish scalable accounting practices and improve operational efficiency
- Build a high-performing finance organization that supports company growth
Budgeting & Forecasting
- Direct annual budgeting and forecasting processes
- Conduct variance analysis and financial planning with operations leadership
Strategic & Operational Support
- Partner with executive leadership on financial strategy and long-term planning
- Support operational decision-making with financial insights and analytics
- Assist with financial integration of future acquisitions
What We’re Looking For
- 8+ years of experience in accounting, finance, or controller-level leadership roles
- Experience supporting multi-location operations or complex organizations
- Strong background in financial reporting, internal controls, and audit management
- Ability to collaborate with executives, operations leaders, and external partners
- Bachelor’s degree in Accounting, Finance, or related field
- CPA or MBA strongly preferred
Industry experience in commercial mechanical services, HVAC, refrigeration, plumbing, or construction is strongly preferred.
Compensation & Benefits
Competitive Compensation
- $175,000 – $200,000 base salary
- Performance-based bonus opportunity
Benefits
- Medical, dental, and vision insurance
- 401(k) with company match
- HSA contributions
- Life insurance and disability coverage
- Employee assistance program
Work-Life Balance
- Generous PTO
- Paid holidays
Career Growth
- Executive leadership visibility
- Advancement opportunities within a growing national organization
Why This Role Matters
This role will lead a lean, high-performing accounting team responsible for all financial reporting and analytics. The Corporate Controller will play a key role in modernizing processes, improving financial visibility, and supporting strategic growth initiatives.
If you’re a results-oriented finance leader who enjoys building teams, improving systems, and driving business performance, we’d welcome the opportunity to connect.
Controller - Real Estate Asset Management & Strategic Advisory Firm - Fully Remote - $160k-$180k + B
The Firm:
A privately backed Real Estate Asset Management & Strategic Advisory Firm with a diversified, multi-state commercial portfolio is expanding its finance function. The firm operates at the intersection of asset management, investment oversight, and strategic advisory, partnering closely with ownership groups, lenders, and institutional stakeholders.
Led by seasoned real estate principals with deep experience across office, retail, mixed-use, and other asset classes, the organization combines institutional discipline with an agile, high-accountability culture.
This is a remote position with a preference for candidates within commuting distance to New York City for periodic in-person collaboration.
The Role:
The Controller will serve as a key finance partner supporting portfolio performance, capital oversight, and ownership reporting across a national portfolio.
This is not a traditional property accounting role. Instead, this position bridges property-level financial review with investment-level analysis, debt oversight, and portfolio reporting. The right candidate will be comfortable operating independently, interacting with asset management and capital partners, and strengthening financial processes in a lean environment.
You will work cross-functionally with asset management, third-party property managers, lenders, and external accounting providers to ensure accurate reporting, disciplined cash management, and clear financial visibility across assets.
Responsibilities:
Portfolio & Property Financial Oversight
- Review monthly and quarterly property financial packages prepared by third-party managers
- Analyze operating statements, balance sheets, cash flow, general ledger activity, and variance reporting
- Monitor portfolio-level performance metrics and support business plan tracking
- Identify reporting inconsistencies and partner with property managers to improve accuracy and timeliness
Capital & Debt Management
- Track lender reporting requirements and debt covenant compliance
- Review debt service calculations, reserve activity, and capital expenditure funding
- Support refinancing and recapitalization initiatives, including financial analysis and data coordination
- Assist with capital planning and cash forecasting across assets
Ownership & Investment Reporting
- Support preparation of ownership-level and partnership financial reporting
- Track capital contributions, distributions, and member loan activity
- Coordinate with external auditors and tax providers to ensure timely and accurate deliverables
- Assist in preparing consolidated portfolio reporting for internal and external stakeholders
Process & Infrastructure Enhancement
- Strengthen internal reporting frameworks and financial controls
- Improve coordination between asset management, property managers, and external accounting partners
- Contribute to the development of scalable financial workflows as the platform grows
- Provide ad hoc financial analysis to support investment and asset-level decision-making
Qualifications:
- 7–10+ years of commercial real estate accounting or portfolio finance experience
- Strong understanding of property-level reporting and ownership/entity structures
- Experience working alongside asset management teams and interfacing with lenders
- Exposure to debt compliance, refinancing, or capital planning initiatives preferred
- Comfortable operating in a lean, high-responsibility environment
- Detail-oriented, analytical, and proactive
- Able to work independently while collaborating cross-functionally
- NYC-based or within commuting distance for periodic meetings preferred
Base Salary: $160k- $180k plus bonus
The above salary range represents Advice's good faith and reasonable estimate of the possible base compensation range at the time of posting and is not reflective of the total compensation package, which may also include benefits, equity and other non-cash incentives.
Please send your resume for immediate consideration to:
If this particular role isn't the ideal fit, please feel free to forward your resume to the email above to explore other available opportunities. Please also feel free to share this posting with anyone in your network who might be open to learning more. Referrals are always appreciated!
Advice Personnel
*Celebrating over 40 years as one of the premier search/staffing firms serving the New York metropolitan area*
Remote working/work at home options are available for this role.
About Keyfactor
Our mission is to build a connected society, rooted in trust, with identity-first security for every machine and human. Keyfactor helps organizations move fast to establish digital trust at scale - and then maintain it. With decades of cybersecurity experience, Keyfactor is trusted by more than 1,500 companiesacross the globe. We are proud to continually earn recognition as a Best Place to Work, and we achieve that through our amazing people who cultivate our culture as we grow. We hope you will trust your future with Keyfactor!
Title: Global Controller
Location: United States; Remote, EST working hours (hybrid if near Cleveland, OH or Atlanta, GA office)
Experience: Director
Job Function: Accounting & Finance
Employment Type: Full-Time
Industry: Computer and Network Security
About the position
The Global Controller is a leader and operator who will report directly to the Chief Accounting Officer (CAO). As the Global Controller for the consolidated company, the position will oversee & influence accounting operations and directly supports the CAO, CFO & other executive/leadership teams. This role is an integral part of our operations as it will oversee daily financial operations including accounting, treasury, and management reporting. The role requires proven industry experience as an accountant, preferably in a senior role, as well as management experience in order to delegate and grow the team. As a strong communicator and skilled financial analyst, the goal is to assist streamlining closing cycles, procurement, payroll, and financial reporting as well as produce thorough financial status reports for senior management to help drive strategy, improve our operational efficiency, and aid in our continued growth.
Applicants must hold U.S (United States) citizen or U.S. permanent resident status.
Job Responsibilities
- Direct all aspects of consolidated global financial reporting, ensuring seamless integration of international subsidiaries while maintaining accuracy in financial statements
- Accountable for ensuring consistent compliance of corporate accounting principles and procedures in full compliance with US GAAP and coordinate with local accountants on local reporting requirements (e.g. IFRS)
- Act as a strategic partner to the CAO and exec team by analyzing financial performance, identifying trends/variances, and providing data-driven assumptions to inform budgeting and forecasting
- Lead the relationship with external auditors to ensure the timely and successful completion of annual audits and regulatory filings globally
- In partnership with tax department, manage global tax accounting and transfer pricing
- Manage and drive efficient monthly and quarterly close cycles by leveraging & evaluating existing tooling as well as support innovation by adopting AI, new advanced tooling, and automation to enhance speed and accuracy
- Design, monitor, and enforce an internal control environment to protect global assets and ensure organizational integrity
- Maintain organizational readiness for potential M&A and capital market events by maintaining an 'audit-ready' environment and leading the technical purchase accounting / operational integration of new entities
- Build and foster a strong team culture as we scale and delegate further functions & specialization as well as provide training, mentorship, feedback, and coaching to the accounting teams and direct reports
- Collaborate with cross-functional teams to support business initiatives and drive financial efficiency.
Minimum Qualifications, Education, and Skills
- 10+ years of experience in senior accounting/finance leadership roles
- Bachelor's Degree in Finance, Accounting or Economics (CPA preferred)
- Proven track record managing multi-entity consolidations, timely close cycles, audits, transfer pricing, financial controls and international compliance across US GAAP, IFRS, and local GAAPs
- Familiarity with Software-as-a-Service (SaaS) or subscription-based revenue recognition and financial reporting
- Strong interpersonal skills for managing relationships with execs, auditors, banking partners, and external stakeholders
- Ability to manage, coach, and lead teams, ensuring alignment between accounting and the broader business
- A significant plus is proficiency with NetSuite, FloQast, and Salesforce and experience leveraging AI tooling for process automation and optimization
Travel Requirements
Up to 5% travel required
Compensation
Salary will be commensurate with experience.
Culture, Career Opportunities and Benefits
We build teams that continually strive to get better than the day before. You will be challenged daily and given opportunities to grow personally and professionally. We balance autonomy and structure to create an entrepreneurial environment to spur creativity and new ideas.
Here are just some of the initiatives that make our culture special:
- Second Fridays (a company-wide day off on the second Friday of every month minus November and December of 2025 due to the Holiday schedule). Please note that this benefit is subject to change.
- Comprehensive benefit coverage globally.
- Generous paid parental leave globally.
- Competitive time off globally.
- Dedicated employee-focused ambassadors via Key Contributors & Culture Committees.
- DIVERSE Commitment, a call to action for a more inclusive and diverse future in business, society, and technology.
- The Keyfactor Alliance Program to support DEIB efforts.
- Wellbeing resources, wellness allowance, mindfulness app free membership, Wellness Wednesdays.
- Global Volunteer Day, company non-profit matching, and 3 volunteer days off.
- Monthly Talent development and Cross Functional meetings to support professional development.
- Regular All Hands meetings - followed by group gatherings.
Our Core Values
Our core values are extremely important to how we run our business and what we look for in every team member:
Trust is paramount.
We deliver security software and solutions where trust and openness are of the highest importance for our customers. We are honest and a trusted partner in every aspect of business.
Customers are core.
We strategize, operate, and execute through a customer-centric view. We prioritize the security interests of our customers, and we act as if their data were our own.
Innovation never stops, it only accelerates.
The speed of change is accelerating. We are committed, through investment and focus, to stay ahead of the innovation curve.
We deliver with agility.
We thrive in high-paced and continually changing environments. We navigate through newly added variables, adjust accordingly, while driving towards our strategic goals.
United by respect.
Respect for all is what unites us. We promote diversity, inclusivity, equity, and acting with empathy and openness, both in our business and in our communities.
Teams make "it" happen.
Vision and goals are not individually achievable - they require teamwork. We pride ourselves in operating as a cohesive team, creating promoters and partners, and winning as one.
Keyfactor is a proud equal opportunity employer including but not limited to veterans and individuals with disabilities.
REASONABLE ACCOMMODATION: Applicants with disabilities may contact a member of Keyfactor's People team via and/or telephone at to request and arrange for accommodations at any time.
Keyfactor Privacy Notice
About WVH:
The Wood Veneer Hub, Inc. (WVH) is a fast-growing organization recognized for delivering high-quality products. We pride ourselves on excellence, operational efficiency, and compliance with all regulatory standards.
Position Overview:
We are seeking a Compliance & Inventory Controller to manage inventory accuracy, ensure regulatory compliance, and maintain internal controls. This role is critical to operational efficiency and supporting financial and operational reporting within the organization.
Key Responsibilities:
· Oversee inventory management, including receiving, storage, and distribution
· Conduct regular cycle counts and full physical inventories
· Maintain accurate inventory records and reconcile discrepancies
· Ensure compliance with company policies, standard operating procedures, and regulatory requirements
· Collaborate with Purchasing, Production, and Finance teams to manage stock levels
· Prepare inventory and compliance reports for management
· Identify process improvements to enhance inventory accuracy and operational efficiency
· Support audits and provide documentation for regulatory inspections
· Assist with special projects related to inventory and compliance
This list is not exhaustive; additional responsibilities may be assigned based on business needs.
Qualifications:
· Experience in inventory control, compliance, or supply chain management
· Knowledge of regulatory requirements relevant to inventory and warehouse operations
· Strong analytical and problem-solving skills with attention to detail
· Proficiency with inventory management systems and Microsoft Office
· Excellent verbal and written communication skills
· Ability to manage multiple priorities in a fast-paced environment
· Must be based in Phoenix and legally authorized to work in the U.S.
Benefits:
· Health, dental, and vision insurance
· 401(k) plan
· Paid time off
· Flexible schedule
· Career growth opportunities
Equal Opportunity Employer
WVH is proud to be an Equal Opportunity Employer. Employment decisions are based on qualifications, performance, and business needs—regardless of race, color, religion, gender, age, disability, or other protected status. Workplace discrimination or harassment is strictly prohibited.
Location: Bolingbrook IL
Position Overview
The Assistant Plant Controller is a key business partner to both Finance and Operations, reporting directly to the CFO. This role supports plant‑level financial performance through hands‑on involvement in cost accounting, budgeting, analysis, and inventory control. You’ll work cross‑functionally to translate financial data into clear insights that support smart, data‑driven operational decisions.
Key Responsibilities
- Support plant budgeting, forecasting, and monthly close activities
- Manage cost accounting, job costing, and inventory controls
- Analyze plant profitability, KPIs, and key cost drivers
- Perform variance analysis and support cost‑reduction initiatives
- Develop financial models and reports for operational and strategic decisions
- Partner with Operations and Finance leadership to improve performance
Minimum Requirements
- Bachelor’s degree in finance, Accounting, or related field
- 4+ years of finance or cost accounting experience (manufacturing preferred)
- Strong analytical and financial modeling skills
- ERP experience required (SAP preferred)
- Effective communication and organizational skills
Giesecke+Devrient is a growing, German international security technology company operating in the fields of digital security, financial platforms, and currency technology. G+D ePayments manages and secures billions of digital identities throughout their entire life cycle. Our products and solutions are used by commercial banks, mobile network operators, car and mobile device manufacturers, business enterprises, transit authorities and health insurances and their client’s every day to secure payment, communication and device-to-device interaction. G+D ePayments is a technology leader in its markets and holds a strong competitive position.
Benefits offered to eligible employees include, medical (PPO and HDHP with HSA), dental, vision, paid time off, paid holidays, 401K w/ employer match, short/long term disability, life insurance, healthcare and dependent care flexible spending, EAP, commuter benefits, education assistance, pet insurance, legal, and more.
Giesecke+Devrient Mobile Security America, Inc. is an Equal Opportunity Employer – M/F/Veteran/Disability/Sexual Orientation/Gender Identity
A dynamic and fast-moving international consumer products business requires a Financial Plant Controller.
Based in San Antonio, Texas you will be responsible for the commercial, operational and management finance and accounting activities for the location. This is a senior leadership role which requires business partnering and ensuring that robust financial controls and information are in place to deliver the company’s growth strategy.
Key responsibilities:
- Operations finance.
- Cost accounting.
- Core accounting – Balance Sheet management.
- Financial Leadership & Control: Maintain strong financial governance, mitigate risks, and optimize reporting processes.
- Strategic Planning: Lead business strategy formulation and execution, aligning financial models with commercial objectives.
- Performance Monitoring: Provide timely financial insights, challenge inefficiencies, and drive corrective measures.
- Investment & Growth: Evaluate commercial opportunities, investment proposals, and oversee capital allocation.
- Cash Flow & Forecasting: Champion rolling forecasts, manage working capital, and ensure financial visibility.
- Technology & IT Integration: Oversee financial systems and liaise with IT to enhance business efficiency.
- Leadership & Talent Development: Recruit, mentor, and develop a high-performing finance team.
Skills required:
- CPA/MBA qualified with at least 5 year’s experience of senior finance leadership in a high growth manufacturing environment
- Strong Analytical skills, data-driven decision-making and leadership presence
- Proven track record in commercial strategy, financial planning & analysis, design and implementation of financial control frameworks.
- Ability to lead and partner with the business in a fast-growing and complex business
- Strong interpersonal skills and ability to negotiate, present, influence and resolve complex issues
This is an excellent role for a dynamic finance leader who wants to drive growth and operational excellence in a successful growth environment.
Are you a detail-driven professional with experience supporting complex construction projects? We’re partnering with a leading data center owner/operator to find a Document Controller to support large-scale, mission-critical construction programs.
This is an opportunity to play a key role in delivering cutting-edge data center infrastructure by ensuring project documentation is accurate, organized, and seamlessly managed across internal teams and external partners.
What You’ll Be Doing
- Manage and maintain all project documentation including drawings, RFIs, submittals, change orders, and reports
- Ensure version control, document accuracy, and compliance across the full project lifecycle
- Track and maintain logs for RFIs, submittals, and project correspondence
- Coordinate with project managers, engineers, contractors, and vendors to ensure timely document flow
- Administer document management systems (Procore, Aconex, SharePoint, BIM 360, etc.)
- Support project reporting, audits, and closeout documentation (as-builts, O&M manuals, commissioning records)
What We’re Looking For
- 3–7+ years of document control experience in construction, engineering, or infrastructure projects
- Experience with data center or mission-critical projects is a strong plus
- Strong knowledge of construction documentation processes (RFIs, submittals, drawings)
- Proficiency with document management platforms (Procore, Aconex, SharePoint, BIM 360, etc.)
- Highly organized with strong attention to detail and ability to manage multiple priorities
- Excellent communication skills and ability to collaborate across teams
Why This Role?
- Work on high-profile data center projects in a rapidly growing industry
- Be part of a collaborative, high-performing project team
- Strong career growth potential within mission-critical construction
- Competitive compensation and benefits
If you’re looking to be part of impactful, large-scale infrastructure projects and thrive in a fast-paced environment, we’d love to connect.
Apply today or reach out directly to learn more.
A growing metal fabrication company based in Newburgh, NY is seeking a full-time employee to fill the position of Controller. The applicant will serve as the financial leader for MetalWyze, responsible for the accuracy of our financial reporting and the strategic forecasting required to guide business growth. This is a hands-on leadership role; you will oversee the daily accounting operations, manage the AR/AP specialists, and utilize our ERP system to provide critical insights into margins, cash flow, and inventory costs.
QUALIFICATIONS
- Bachelor's degree in Accounting or Finance (CPA or CMA preferred).
- Proven experience in a manufacturing, distribution, or inventory-heavy environment.
- Ability to navigate digital MRP/ERP systems (experience with ABIS Adjutant is a major plus).
- Strong understanding of Cost Accounting and inventory valuation methods.
- Leadership experience with the ability to mentor and manage a small accounting team.
- Must have a can-do, customer service-first attitude.
- Advanced proficiency in Excel and financial modeling.
- Commitment to the Company's mission and core values.
MAIN JOB TASKS & REQUIREMENTS
- Oversee all daily accounting functions, including General Ledger, Accounts Payable, and Accounts Receivable.
- Lead the month-end and year-end close process, ensuring timely and accurate financial statements.
- Manage and mentor the Credit/AR Specialist and Accounting/AP Specialist.
- Prepare weekly cash flow forecasts and margin analysis reports to assist ownership in decision-making.
- Serve as the financial \"Super User\" for ABIS Adjutant, ensuring the system is fully utilized for accurate inventory tracking and job costing.
- Coordinate with external tax accountants and auditors as needed.
- Monitor internal controls to safeguard company assets.
- Analyze sales and expense data to identify trends and opportunities for cost reduction.
- You will be expected to perform other duties as assigned.
BENEFITS
- Competitive pay ($120,000 - $150,000)
- Paid vacation and holidays
- 401(k) with discretionary employer match
- Benefits: Medical/Dental/Vision/Life Insurance
***Facility opening in SPRING 2026***