Corporate Controller

About us:

Have you always wanted to put your passion for education to use in your career? Do you dream of working with an incredible team making an impact on learning around the world? If you answered yes, we can’t wait to meet you!

Who are we? Edpuzzle is a leading edtech company with offices in San Francisco, United States and Barcelona, Spain, boasting over 10 years of history helping teachers find and create exciting, interactive video lessons. Today, over 80% of U.S. schools, and millions of teachers and students worldwide, use Edpuzzle to make education more equitable and engaging.

About the role:

We’re looking for a Corporate Controller to join our global Finance Team. This is a remote role that will be based in the United States, while collaborating with team members located in Spain and various other  countries. 

As the Corporate Controller, you will be responsible for the core operational aspects of our accounting and finance controls. You will play a pivotal role in Edpuzzle’s accounting team, overseeing the day-to-day accounting operations and ensuring the accuracy, integrity and timeliness of all financial statements. Your responsibilities will include controllership, corporate accounting, and financial reporting. Additionally, you will manage the budgeting, forecasting, and financial planning and analysis functions of the company, acting as a finance business partner to divisional leadership. 

This position reports to the Director of Finance.

Wondering what it’s like to work at Edpuzzle?:

Picture a place where you can connect with your teammates, whether remotely or in person, whenever you need support. A place where you help shape one of the biggest edtech platforms in the world, tackle new challenges to push your intellectual limits, and bond with your coworkers through meaningful team-building activities. A place where everyone has been selected because they’re the best at what they do, and where your manager and team trust your decisions fully. A place where you’re encouraged to learn and grow because education is the cornerstone of everything we do. 

Check out the job details below to see if Edpuzzle could be the right fit for you!

About the job:

  • Lead and improve the monthly close processes and ensure accurate preparation of financial statements in compliance with GAAP standards. Present detailed management reports highlighting key financial metrics and trends to senior leadership and stakeholders.
  • Manage the company’s annual budgeting process, coordinating with each department to ensure accurate and timely submissions to key stakeholders. Proactively review and challenge departmental budgets, making value-added recommendations as needed, to ensure alignment with overall company objectives.
  • Conduct insightful analysis between budgeted and actual results, providing detailed commentary, recommendation for improvements, and plans for implementation.
  • Establish and maintain financial forecasts based upon business conditions and performance, updating as necessary to align with strategic goals.
  • Establish and maintain accounting policies, ensuring practices and procedures that comply with US GAAP to help identify and mitigate financial and operational risk. 
  • Oversee revenue recognition to ensure compliance with accounting standards and accuracy in reporting. Remain informed on ongoing accounting industry developments, relevant trends and regulatory changes that may impact financial operations and reporting.
  • Act as a strategic partner to senior management, providing insights for decision-making, cost reduction and revenue enhancement opportunities; lead any necessary financial due diligence for potential capital raising and/or mergers and acquisitions, ensuring thorough analysis and accurate reporting.
  • Recruit, manage and develop the finance and accounting team, ensuring optimal resource allocation, professional growth, and recruitment of top financial talent. Foster a collaborative and high-performance culture within the finance team.
  • Oversee the implementation and optimization of financial systems to enhance reporting and analytical capabilities. Continuously improve processes for efficiency and accuracy, ensuring data integrity.
  • Analyze business operations to identify performance drivers and provide financial support for key projects, ensuring they are viable and strategically aligned.
  • Evaluate tax exposure across all required regions; manage and ensure compliance with tax regulations, optimizing tax planning strategies to minimize liabilities and risks. Coordinate with tax advisors and authorities to ensure accurate and timely tax filings.
  • Communicate financial performance and insights to key stakeholders. Prepare presentations and reports for stakeholders to facilitate transparency and informed decision-making.
  • Perform other duties as assigned.
  • This is a full-time position of 40 hours per week.

About you:

  • Minimum of 12 years relevant progressive work experience with at least 5 years in public accounting.
  • Proven experience in a leadership or managerial role, overseeing teams and complex financial operations.
  • Experience or familiarity with SaaS tech industry-specific financial practices and regulations.
  • A bachelor’s degree in finance, accounting, business administration, or a related field is required.
  • Active Certified Public Accountant (CPA) license is required.
  • An MBA or a Master’s degree in finance or accounting is highly desired.
  • Excellent written and verbal communication skills to effectively convey financial information to non-financial stakeholders.
  • Proficient in the use of financial software (e.g., SAP, Oracle, Hyperion) and advanced Excel skills.
  • Deep understanding of Generally Accepted Accounting Principles (GAAP) and International Financial Reporting Standards (IFRS).
  • Highly knowledgeable in relevant financial regulations and compliance requirements in the United States.
  • Able to lead, manage, and develop teams in a dynamic, fast-paced environment. Capable of setting clear performance expectations, fostering a positive and inclusive work culture, mentoring and coaching team members, managing team performance, and driving professional development initiatives to enhance team capabilities and productivity.
  • High ethical standards and integrity in handling financial matters.
  • Proactive in identifying financial issues and opportunities for improvement.
  • High attention to detail to ensure accuracy in financial reporting and compliance with regulations.
  • Fluent in English
  • Availability to travel may be required from time to time to fulfill business needs.

Bonus skills:

  • Experience interacting with stakeholders from different countries, subject to different (business) cultures.
  • Skilled in dealing with different ways of thinking, communication styles, and business practices to achieve successful outcomes.
  • Fluency in additional languages will be a plus
  • .… or other amazing skills you bring to the table that we haven’t thought of yet!

What’s it like to work remotely?:

  • Work from the comfort of your own home 
  • Meet with your manager and team via video calls on Google Meet or Slack 
  • Connect with coworkers via Slack (with channels for work and for fun!) 
  • To enjoy our remote work policy, you’ll need high-speed internet access