Assistant Controller

Assistant Controller

Location:

Charlotte, North Carolina

Posted

02-26-2026

Sector

Accounting and Finance

Work Type

Direct Hire

Reference

67647

THE TEAM YOU WILL BE JOINING
  • International manufacturer producing highly specialized products
  • An extensive footprint across 10+ countries with headquarters in North Carolina
  • Focused on reinvestment in the company and operational excellence
  • Introducing new products through R&D

WHAT THEY OFFER YOU
  • Finance & Accounting team with a strong relationships internally and focused on employee development
  • Great resume builder
  • Excellent benefits with an established organization that is entrepreneurial in nature, fast paced and highly collaborative
  • The ability to suggest and implement improvements in the accounting and finance areas
WHAT YOU WILL DO
  • Lead day-to-day treasury operations, including liquidity management and cash positioning
  • Own cash forecasting and working-capital insights to support cash flow optimization
  • Manage debt-related activities, including covenant tracking and related reporting/storytelling
  • Drive treasury process improvements, including rationalizing and consolidating bank accounts and workflows
  • Partner closely with the Global Controller and cross-functional finance leaders to support the broader controllership function
  • Provide hands-on support across core accounting operations as needed (e.g., accounts payable and related processes)
  • Help shape how the treasury and controllership responsibilities are packaged and communicated internally, ensuring clear expectations for the role
HOW YOU ARE QUALIFIED
  • Experience spanning treasury operations and accounting/controllership, with the ability to flex between both (e.g., cash forecasting, debt/covenant support, liquidity management, and hands-on accounting ownership)
  • Demonstrated adaptability and interest in broadening scope beyond a single "lane" to build a well-rounded leadership track
  • Ability to own and improve treasury processes (e.g., consolidating bank accounts, streamlining workflows, and driving operational rigor)
  • Strong analytical and "storytelling" skills around cash flow, leverage, and working capital optimization
  • Background in complex environments (e.g., private-equity-backed or otherwise fast-changing businesses) and comfort partnering with leadership on evolving priorities
  • CPA preferred
APPLY NOW

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