What are the responsibilities and job description for the Global Corporate Controller position at ASG?
COMPANY DESCRIPTION
ASG is an unconventional group of market-leading SaaS software companies, serving industries ranging from behavioral health to transportation to childcare. ASG believes deeply in the power of people and data to grow great organizations, and that sharing knowledge, expertise, and resources across its community of businesses drives exponential growth. ASG has acquired over 40 businesses since its inception in August of 2016. We are backed by Alpine Investors and operated by world-class PeopleFirstTM leaders. Founders of leading SaaS companies continue to trust ASG to grow their businesses and build even stronger legacies for the future. To learn more, visit www.alpinesg.com.
JOB DESCRIPTION
This role will (i) own the accounting and financial operations at each of our three Holding Companies; (ii) consolidate financial reporting across our 20 global Operating Companies (iii) drive the annual audit process; (iv) facilitate tax compliance across ASG; (v) own all treasury operations; and (vi) support M&A and divestiture transactions as we continue to expand our global presence. The role will manage a small but growing team, and report to the VP of Finance.
You’re Excited About This Opportunity Because You Will:
- Own the accounting and financial operations at each of our three Holding Companies:
- Oversee the day-to-day accounting and financial operations (accounts payable, expense reimbursement, accounting close, etc.) at each of our three Holding Companies
- Develop and maintain global accounting policies, procedures and controls
- Lead, mentor, and develop team members, and be recognized as a trusteed leader across the entire organization
- Provide accounting guidance and support to the finance leaders of our Operating Companies on an ad hoc basis, as well as through monthly lunch'n learn meetings
- Consolidate financial reporting across our 20 global Operating Companies:
- Design and manage our global chart of accounts and reporting hierarchies
- Automate and standardize, where possible, the accounting close process
- Manage the financial reporting and global consolidation process (in accordance with U.S. GAAP) across our 20 global Operating Companies
- Maintain timely and accurate financial reporting dashboards, and deliver monthly reporting packages to our leadership team by the 20th of each month
- Prepare monthly and quarterly lender reporting packages - including consolidated Income Statements, Balance Sheets, Statements of Cash Flow, Quarterly KPIs, compliance certificates and high-level variance commentary
- Drive the annual audit process:
- Manage the annual audit for each of our three Holding Companies - including drafting financial statements (in accordance with U.S. GAAP)
- Update our year-end technical accounting memos (ASC 606, Goodwill impairment, internally developed software, etc.)
- Facilitate tax compliance across ASG
- Coordinate information requests from third party tax providers for annual provision and tax returns
- Manage quarterly and annual tax payments
- Drive sales and use tax compliance across our Operating Companies
- Manage intercompany notes between our Operating Companies
- Own all treasury operations
- Manage our banking relationship
- Manage all cash inflows and outflows
- Facilitate the flow of funds for newly acquired and divested companies
- Partner with FP&A on the monthly cash forecast
- Review monthly cash sweeps from our Operating Companies
- Support M&A and divestiture transactions:
- Support M&A integration activities and related purchase accounting requirements for acquisitions as well as divestitures (ASC 805, ASC 470, gain on sale, etc.)
We’re Excited About You Because:
You have a passion for accounting, reporting, tax and treasury!
- You have 10 plus years of public and private accounting, and/or private equity experience, with a minimum of 3 years in a Controller role.
- You have a bachelor’s degree in Accounting or Finance.
- You have a proven track record of leading and developing high-performing accounting teams.
- You have a deep understanding of U.S. GAAP accounting and extensive experience with the audit process.
- You have experience with multi-currency accounting and global consolidations.
- You have a deep understanding of treasury and tax functions.
- You have a track record of excellent project management skills.
- You are proficient in excel and know how to navigate and update forecast models.
- You are energized by a relentless attention to detail.
- You have a passion for organization and improving processes.
- You are responsive and have a positive, solution-oriented attitude.
- You are self-directed and manage multiple deadlines.
- You possess excellent collaboration and communication skills (written and verbal).
- You are a go-getter who is eager to learn and thrives in a lean, growing, fast-paced results-oriented environment.