
Director, Financial Control & Reporting
Mission Staffing, New York, NY, United States
A premier investment management firm is seeking a Director of Financial Control & Reporting to lead critical financial oversight and drive key initiatives. This is a unique opportunity to partner closely with senior leadership, shape process enhancements, and manage a high-impact reporting function within a top-tier organization.
Company Information:
A leading investment management firm known for its high-performance culture, rigorous financial discipline, and commitment to excellence. Job Description:
Oversee the month-end close process, including review of journal entries, workpapers, and balance sheet reconciliations across multiple currencies and entities Review and analyze financial information and consolidated reports for accuracy and completeness Prepare ad hoc analysis and develop enhanced reporting Research, document, and implement new technical accounting standards and develop accounting policies for new transactions Support transfer pricing considerations and ensure proper intercompany treatment Model and forecast month-end results to monitor regulatory capital levels and prepare/review regulatory filings Manage external auditors and review year-end consolidated financial statements Lead process improvement and automation initiatives Manage a team of 1–3 professionals Partner with tax on partnership accounting, transfer pricing matters, and annual estimates Collaborate with AP, Payroll, FP&A, Compliance, and Legal Requirements / Qualifications:
12+ years of relevant experience; public accounting experience preferred Licensed CPA with strong understanding of GAAP and technical research abilities Proven analytical and problem-solving skills with proactive issue identification High degree of accuracy, attention to detail, and ownership over processes Strong verbal and written communication skills Energetic, resourceful, and process-improvement oriented team player Proficiency in MS Office; hedge fund or investment manager experience preferred Experience working with multiple currencies, multiple countries, and consolidated reporting structures Familiarity with transfer pricing concepts and intercompany frameworks
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A leading investment management firm known for its high-performance culture, rigorous financial discipline, and commitment to excellence. Job Description:
Oversee the month-end close process, including review of journal entries, workpapers, and balance sheet reconciliations across multiple currencies and entities Review and analyze financial information and consolidated reports for accuracy and completeness Prepare ad hoc analysis and develop enhanced reporting Research, document, and implement new technical accounting standards and develop accounting policies for new transactions Support transfer pricing considerations and ensure proper intercompany treatment Model and forecast month-end results to monitor regulatory capital levels and prepare/review regulatory filings Manage external auditors and review year-end consolidated financial statements Lead process improvement and automation initiatives Manage a team of 1–3 professionals Partner with tax on partnership accounting, transfer pricing matters, and annual estimates Collaborate with AP, Payroll, FP&A, Compliance, and Legal Requirements / Qualifications:
12+ years of relevant experience; public accounting experience preferred Licensed CPA with strong understanding of GAAP and technical research abilities Proven analytical and problem-solving skills with proactive issue identification High degree of accuracy, attention to detail, and ownership over processes Strong verbal and written communication skills Energetic, resourceful, and process-improvement oriented team player Proficiency in MS Office; hedge fund or investment manager experience preferred Experience working with multiple currencies, multiple countries, and consolidated reporting structures Familiarity with transfer pricing concepts and intercompany frameworks
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