Perks & Benefits:
eCapital supports small and mid-sized companies throughout the United States, Canada, and the United Kingdom by providing alternative financial solutions like invoice factoring, factoring lines of credit, and asset-based lending to accelerate their access to capital. Through its Commercial Finance, Freight Factoring and ABL divisions, eCapital offers capital solutions to 80+ industries. eCapital is an innovative leader in providing flexible, customized cash flow to businesses. We truly love to help our clients grow and this is a position where you can grow too!
The Opportunity
We are seeking a passionate, results-oriented, and innovative Controller to provide ownership of financial and accounting operations.
In this capacity you will have oversight of our audit functions, financial reporting and contribute to the scaling of the organization by playing a key role in executing on our growth strategy.
This is a hybrid role, 2-3 days in the office required.
Responsibilities
- Directing monthly financial statement close process, ensuring accurate and timely completion of the financial statements, and ensure filing/reporting compliance with key internal and external stakeholders.
- Performing variance analysis and investigating findings.
- Preparing and analyzing ad hoc reporting.
- Preparing and maintaining detailed accounting memos
- Creating, executing, enhancing and documenting control processes.
- Complete regulatory reporting, monitoring regulatory changes, and ensuring ongoing compliance.
- Evaluate financial reporting systems and processes; recommend alternatives to improve reporting and consolidation processes (increased automation, dynamic data, etc.).
- Implement management reporting improvement and KPIs for operating company performance tracking.
- Assisting with other ad hoc tasks as required.
- CPA - CA designation
- 5+ years of experience in a finance leadership role, preferably within the finance or tech industries.
- 5+ years of experience in public accounting, preferable with a major accounting firm.
- Experience with general controllership & audit requirements.
- Fundamental knowledge of IFRS and US GGAP preferred.
- Fundamental knowledge of control processes including: implementation and enhancement.
- Experience working with multinational entities and multiple currencies.
- Strong collaboration and organizational skills.
- Must be meticulous and detail oriented.
- Capable of working independently, multi-tasking to establish priorities, and completing objectives without supervision in a fast-paced environment.
- Strong analytical and problem-solving skills with the ability to work with large amounts of data: sorting, subtotaling, and reconciling.
- Advanced proficiency in Microsoft Office Suite, particularly in Excel.
- Experience with general ledger systems preferred.
We are a growing organization that thrives on delivering trusted financial services to help our clients succeed. Joining us will allow you to:
- Work in a dynamic, collaborative, progressive, and high-performing team
- Opportunities to do challenging work and grow
- Make a difference and lasting impact
- Competitive Compensation
- Annual Bonus Incentives
- Vacation & Sick Time
- Health, Dental, and Life Benefits
- RRSP Matching
- Abundant professional development opportunities at a growing and thriving Fintech company!
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