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We are looking for a Controller to lead financial oversight and provide strategic guidance for a manufacturing site in Lockport, New York. This role partners closely with operational leaders to strengthen planning, reporting, and performance management across the facility. The ideal candidate brings strong accounting expertise, sound business judgment, and the ability to translate financial data into practical recommendations that support growth and efficiency.
Job Responsibility:
Partner with site leadership to deliver financial insight and operational analysis that supports performance objectives and informed decision-making
Lead the annual planning cycle and help department leaders align budgets and operating targets with broader business goals
Drive improvements within the finance function by refining workflows, strengthening controls, and recommending more effective procedures
Support capital initiatives by providing financial analysis, tracking project performance, and advising leaders on investment decisions
Manage the monthly and quarterly close process to ensure timely, accurate financial statements and reliable reporting
Direct the plant’s physical inventory activities and maintain oversight of inventory accuracy and related controls
Monitor key balance sheet and working capital areas, including fixed assets, capital spending, receivables, payables, and inventory
Evaluate departmental spending and cost center performance, then collaborate with managers to identify savings opportunities and improve financial results
Work with commercial and business partners to assess market trends, profitability, and pricing effectiveness through detailed financial analysis
Lead, coach, and develop finance team members while overseeing local IT coordination, forecasting, tax reporting, capital reporting, and operational reviews aimed at improving efficiency and productivity.
Requirements:
5+ years of experience in accounting, finance, or controllership roles
Demonstrated success managing month-end close activities and producing accurate financial statements
Experience developing annual budgets, operating plans, and financial forecasts
Strong background in annual financial reporting and performance analysis
Ability to interpret business and operational data to support strategic and tactical decisions
Experience overseeing capital expenditures, fixed assets, inventory, payables, and receivables
Proven leadership skills with experience guiding teams and partnering with cross-functional managers
All applicants applying for U.S. job openings must be legally authorized to work in the United States.