Financial Controller

Destify
Full time
Accounting and Finance
United States
Hiring from: United States
Description

Who We Are:

We are Destify! We have redefined destination weddings by seamlessly blending cutting-edge technology with exceptional customer service. Our people-centric approach drives our culture, and our commitment to innovation powers our success.

Who You Are

You are a driven, solution-oriented professional with a passion for building and improving. As a key leader at Destify, you'll be joining us at a pivotal moment, with the opportunity to define the right way to do things. You will oversee all financial reporting and guide a team as we build the systems and processes that will ensure our financial operations are in top shape for years to come. You are proactive, strategic, and excited by the chance to leave your mark on a growing organization.

Why Work At Destify

Salary from $100-125,000

Flexible Paid Time Off Policy

Paid Parental Leave

Caribbean Travel Perks

Fully Remote

Full Benefits including Medical/Dental/Vision

401k with Company Match

Requirements

What Skills You Need:

  • Bachelor's degree in Accounting, Finance, or related field; CPA or CMA strongly preferred
  • 5+ years of progressive accounting/finance experience, including at least 2 years in a senior accounting or controller role
  • Strong knowledge of GAAP and internal control practices
  • Advanced proficiency with Excel and familiarity with accounting/ERP systems (QuickBooks, NetSuite, or similar)
  • Familiarity with CRM systems such as HubSpot or Salesforce

What Is Helpful To Have

  • EOS or Scaling Up
  • Entrepreneurial background
  • Excellent communication skills and ability to clearly present financial results
  • Self-starter with high attention to detail and a hands-on approach

What You Will Do As Our Controller

  • Ensure accurate and timely monthly, quarterly, and annual close processes
  • Develop, implement, and maintain internal accounting controls, policies, and procedures to improve efficiency and data integrity
  • Work closely with department heads to support budgeting, forecasting, and variance analysis
  • Own all monthly close processes and maintain a clean, accurate general ledger.
  • Prepare and deliver monthly financial statements (P&L, balance sheet, cash flow)
  • Perform variance analysis (budget vs. actual) and explain financial trends to leadership
  • Develop and improve internal financial controls and reporting systems including key financial KPIs
  • Support budgeting and forecasting processes, providing visibility into revenue and expenses
  • Coordinate with outside tax and audit professionals as needed
  • Implement and improve accounting systems, tools, and processes
  • Ensure compliance with federal, state, and local tax requirements in partnership with external advisors

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