About Chirisa Technology Parks
Chirisa Technology Parks provides customers with managed cloud and colocation infrastructure and services. We focus on delivering the most cost-effective management of distributed workloads across private, public, and managed infrastructures, including colocation. With diverse networks and power infrastructure combined with skilled engineers working 24x7, we deliver highly secure and reliable colocation and managed solutions.
Website: Digital Infrastructure, Communications & Real Estate | Chirisa Technology Parks
Location: Richmond, VA (Onsite)
Type: Full time Exempt
Job Description: Controller (Finance & Accounting)
Position Overview: We are seeking a highly skilled and motivated individual to join our team as a Controller. This is a critical role that requires meticulous attention to detail, exceptional financial expertise, and the ability to work independently to ensure the accuracy and integrity of our financial records. The Controller will report directly to the senior management team and play a key role in shaping financial strategies and decision-making processes.
Responsibilities:
- Financial Reporting: Prepare timely and accurate financial statements, including income statements, balance sheets, and cash flow statements, to provide insights into the company's financial performance.
- Budgeting and Forecasting: Collaborate with department heads to develop annual budgets and forecasts, monitoring performance against these targets, and providing analysis and recommendations to support strategic planning.
- Accounting Management: Manage the day-to-day accounting activities, including accounts payable, accounts receivable, general ledger, payroll, and fixed assets, ensuring compliance with accounting principles and regulatory requirements.
- Financial Analysis: Conduct in-depth financial analysis to identify trends, opportunities, and areas for improvement. Provide insightful reports to aid in management decision-making.
- Internal Controls: Implement and maintain effective internal control procedures to safeguard company assets, prevent fraud, and ensure compliance with accounting policies and procedures.
- Cash Flow Management: Monitor and manage cash flow to optimize liquidity and support business operations.
- Tax Compliance: Oversee the preparation and filing of tax returns, ensuring compliance with all relevant tax regulations and laws.
- Audit Coordination: Coordinate and liaise with external auditors during the annual audit process, providing necessary documentation and explanations.
- Financial Planning and Strategy: Collaborate with the senior management team to develop long-term financial strategies, business plans, and investment opportunities.
- Risk Management: Identify financial risks and propose appropriate risk mitigation strategies to protect the company's financial interests.
- Administer and process payroll.
Qualifications:
- Bachelor’s degree in finance, Accounting, or a related field. A CPA or CMA certification is highly desirable.
- Proven experience as a Controller or similar role, ideally with experience handling all financial and accounting tasks for a company.
- Extensive knowledge of accounting principles, financial reporting standards, and tax regulations.
- Strong proficiency in accounting software and Microsoft Office applications, particularly Excel.
- Exceptional analytical and problem-solving skills, with a keen eye for detail.
- Excellent organizational and time management abilities, capable of meeting tight deadlines.
- Effective communication and interpersonal skills to collaborate with team members and stakeholders.
- Ability to work independently and take ownership of financial tasks and projects.
- Integrity and confidentiality in handling sensitive financial information.
Note: This job description is intended to provide a general overview of the responsibilities and qualifications for the Controller position. It is subject to change based on the needs of the company and may be modified at the company's discretion.