FHI Heat
We are a rapidly growing multi‑brand organization seeking an experienced and strategic Controller to lead our accounting and finance operations. This is an exciting opportunity for a seasoned professional who thrives in a fast‑paced environment, enjoys solving complex financial challenges, and excels in building strong, high‑performing teams.
You will play an essential role in strengthening our financial structure, optimizing processes, and partnering closely with executive leadership to drive continued growth.
Key Responsibilities
Prepare accurate and timely daily, weekly, and monthly financial statements.
Consolidate financials across multiple revenue streams, including retail, e‑commerce, wholesale, and international channels.
Develop dashboards, KPIs, and financial insights that support strategic decision‑making.
Manage budgeting, forecasting, and cash flow planning.
Ensure full compliance with GAAP and internal accounting controls.
Team Management & Development
Lead and mentor accounting team across AP, AR, GL, payroll, and reporting.
Establish clear expectations, accountability, and professional development pathways.
Foster a culture of collaboration, accuracy, and continuous improvement.
Systems & Process Optimization
Oversee ERP functions, with expertise in SAP (and familiarity with JD Edwards, NetSuite, or similar systems).
Improve workflows, streamline processes, and ensure strong data integrity across all platforms.
Lead integration projects, system enhancements, and automation initiatives.
Operational & Compliance Oversight
Ensure proper accounting treatment of inventory, COGS, landed cost, freight, and intercompany activity.
Manage treasury operations, working capital, and cash flow forecasting.
Oversee annual audits, regulatory filings, and tax‑related processes.
Strengthen internal controls, SOPs, and documentation practices.
Qualifications
7–15 years of experience.
Background in multi‑entity, inventory‑based businesses is highly preferred.
Strong financial reporting and compliance expertise.
Advanced Excel skills and experience with BI tools.
Extensive ERP experience; SAP proficiency strongly preferred.
Excellent communication and leadership skills.
Ability to operate effectively in a fast‑paced, evolving environment.
What We Offer
Competitive salary based on experience.
Medical, dental, and vision benefits.
Paid time off and holidays.
Opportunities to influence and shape financial strategy within a scaling organization.
Why You’ll Enjoy Working With Us You’ll join a team that values innovation, teamwork, and continuous improvement. Your expertise will directly influence company performance and growth. This is a role where your voice matters, your ideas are welcomed, and your work makes a measurable impact.
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You will play an essential role in strengthening our financial structure, optimizing processes, and partnering closely with executive leadership to drive continued growth.
Key Responsibilities
Prepare accurate and timely daily, weekly, and monthly financial statements.
Consolidate financials across multiple revenue streams, including retail, e‑commerce, wholesale, and international channels.
Develop dashboards, KPIs, and financial insights that support strategic decision‑making.
Manage budgeting, forecasting, and cash flow planning.
Ensure full compliance with GAAP and internal accounting controls.
Team Management & Development
Lead and mentor accounting team across AP, AR, GL, payroll, and reporting.
Establish clear expectations, accountability, and professional development pathways.
Foster a culture of collaboration, accuracy, and continuous improvement.
Systems & Process Optimization
Oversee ERP functions, with expertise in SAP (and familiarity with JD Edwards, NetSuite, or similar systems).
Improve workflows, streamline processes, and ensure strong data integrity across all platforms.
Lead integration projects, system enhancements, and automation initiatives.
Operational & Compliance Oversight
Ensure proper accounting treatment of inventory, COGS, landed cost, freight, and intercompany activity.
Manage treasury operations, working capital, and cash flow forecasting.
Oversee annual audits, regulatory filings, and tax‑related processes.
Strengthen internal controls, SOPs, and documentation practices.
Qualifications
7–15 years of experience.
Background in multi‑entity, inventory‑based businesses is highly preferred.
Strong financial reporting and compliance expertise.
Advanced Excel skills and experience with BI tools.
Extensive ERP experience; SAP proficiency strongly preferred.
Excellent communication and leadership skills.
Ability to operate effectively in a fast‑paced, evolving environment.
What We Offer
Competitive salary based on experience.
Medical, dental, and vision benefits.
Paid time off and holidays.
Opportunities to influence and shape financial strategy within a scaling organization.
Why You’ll Enjoy Working With Us You’ll join a team that values innovation, teamwork, and continuous improvement. Your expertise will directly influence company performance and growth. This is a role where your voice matters, your ideas are welcomed, and your work makes a measurable impact.
#J-18808-Ljbffr