Controller - Montréal, Canada - Valsoft HQ (EN)
Description
Controller - Hybrid - Montreal/Toronto
Valstone is seeking a driven and adaptable Controller to join our team
The Controller will primarily focus on supporting our UK businesses as we scale up.
This role involves coordinating period-end close, budgeting/forecasting, statutory audits, and ensuring accurate financial reporting and analysis for a portfolio of acquired companies.
Additionally, the Controller will assist in leading projects impacting accounting, provide guidance on complex accounting issues and participate in integrations for newly acquired businesses.
Here is a glimpse into our company: Valstone is a Montreal based software company that specializes in acquiring and operating vertical market software companies across the industrial vertical.
What Your Day Will Look Like:
- Support financial planning by analyzing portfolio performance and risks.
- Assist in supervising accounting and finance personnel (Accounting, FP&A, AR, AP).
- Assist in preparing monthly, quarterly, and annual financial reports.
- Participate in building and managing monthly, quarterly, and annual forecasts and tracking KPIs.
- Contribute to monitoring performance strategies and identifying areas of opportunity, assisting in the development of action plans to meet financial targets.
- Contribute to monitoring the financial health of the portfolio and ensuring positive cashflow.
- Participate in organizing the annual statutory audits and ensuring all filings are completed.
- Assist in developing strategies to increase return on investment and profitability.
- Support and review accounting tasks including tax and compliance.
- Assist in ensuring effective financial internal controls and evaluating established policies and procedures.
- Collaborate with the integration team during the acquisition of a company to ensure adequate setup of the finance structure.
- Maintain interaction with the corporate finance department.
- Participate in processes related to the sale or acquisition of companies.
- Perform other related duties as assigned.
About You:
- Bachelors degree in Accounting or Finance and CPA designation complete.
- Ability to support risk management by ensuring effective internal controls are in place while maintaining operational efficiency.
- Basic knowledge and skills in accounting and finance disciplines to support integration efforts effectively.
- Ability to understand and interpret diverse groups' goals and needs.
- 46 years of experience in a similar role or relevant finance/accounting experience.
- Demonstrated ability to learn quickly and adapt; strong time management skills and ability to meet deadlines.
- Basic knowledge of Oracle NetSuite ERP or similar platforms (asset).
- Ability to contribute to efficient processes and implement improvements.
- Strong organizational skills and time management abilities.
- Good verbal and written communication skills.
- Strong knowledge of MS Excel.
Valstone Employee Perks:
- Growth and development opportunities.
- Competitive compensation package.
- Flexible working schedule and unlimited vacation.
- Annual wellness benefit.
Contrôleur - Hybride - Montréal/Toronto
Valstone est à la recherche d'un contrôleur motivé et adaptable pour se joindre à notre équipe
Le contrôleur se concentrera principalement sur le soutien de nos activités au Royaume-Uni au cours de notre expansion.
Ce rôle implique la coordination de la clôture de la période, la budgétisation/prévision, les audits statutaires et la garantie d'un rapport financier et d'une analyse précis pour un portefeuille d'entreprises acquises.
Vous contribuerez à la conduite de projets ayant un impact sur la comptabilité, vous fournirez des conseils sur des questions comptables complexes et vous participerez à l'intégration des entreprises nouvellement acquises.
Voici un aperçu de notre entreprise : L'équipe de Valstone est composée de professionnels passionnés qui croient en l'innovation et au service pour faire progresser l'automatisation dans les industries que nous servons.
A quoi ressemblera votre journée:
- Soutenir la planification financière en analysant la performance et les risques du portefeuille.
- Aider à superviser le personnel comptable et financier (comptabilité, FP&A, AR, AP).
- Aider à la préparation des rapports financiers mensuels, trimestriels et annuels.
- Participer à l'élaboration et à la gestion des prévisions mensuelles, trimestrielles et annuelles et au suivi des indicateurs clés de performance.
- Contribuer au suivi de la santé financière du portefeuille et veiller à ce que les flux de trésorerie soient positifs.
- Participer à l'organisation des audits statu
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