This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
We are looking for an experienced Controller to support a manufacturing organization in Berlin, Connecticut through a Long-term Contract assignment. This role will oversee core accounting and reporting activities, provide financial insight to operational leaders, and help maintain strong planning and cash management practices. The position also plays an important part in cross-site consolidation and business partnership efforts that support ongoing operational alignment.
Job Responsibility
Lead monthly and year-end (9/30) closing activities, ensuring financial records are complete, accurate, and delivered on schedule
Prepare clear and timely financial statements, management reports, and other reporting packages for business and corporate stakeholders
Perform in-depth financial analysis to identify trends, explain results, and support decision-making across the organization
Maintain and refine annual budget updates, forecasts, and related planning assumptions in partnership with site leadership
Monitor cash positions and coordinate the transfer of excess funds to corporate in accordance with established guidelines
Consolidate financial results across five locations using OneStream to produce accurate, unified reporting
Record and review journal entries to support the integrity of the general ledger and period-end reporting
Partner with business leaders on integration-related activities and provide financial guidance that supports operational objectives
Create, maintain, and monitor labor and overhead rates, burden rates, and absorption analysis to ensure accurate product costing and timely variance identification
Requirements
Demonstrated experience serving in a Controller or senior accounting leadership capacity within a manufacturing environment
Strong background in month-end close, year-end close, and the preparation of financial reporting packages
Advanced capability in financial analysis, forecasting, budgeting, and performance measurement
Proven experience investigating variances and presenting clear explanations of financial results
Hands-on knowledge of financial consolidation processes, ideally including work with OneStream
Practical experience with cash management, journal entries, and general ledger oversight
Ability to work effectively with cross-functional stakeholders and translate financial data into business insights
What we offer
medical
vision
dental
life and disability insurance
401(k) or deferred compensation plan
paid time off for vacation, personal needs, and sick time