Full-Time

Mid Level

Remote

Not defined

06 Jan → 05 Feb

Hint Inc.

San Francisco, CA, USA

About Company

Hint is on a mission to help the world live a healthy lifestyle by making products people love. Founded in 2005, the idea behind Hint is simple: pure water, nature's original refreshment, accented with fruit essence. No sugar, no diet sweeteners. EVER.
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Job Description

Hint is looking for a talented full-time Controller to join our dynamic Finance and Accounting team. Our Controller reports directly to the VP of Finance and Accounting and will be responsible for overseeing a team of three accountants and for managing all aspects of accounting including accounts payable, accounts receivable, general ledger, tax, and payroll

The position is remote with travel to the San Francisco office as needed and is a great opportunity to join an exciting company with ample growth potential!

Hint is requiring all employees to show proof of the Covid-19 vaccination unless an accommodation request is/has been approved. All new hires will be required to show proof prior to their first day of employment.

Hint is an Equal Opportunity Employer and reasonable accommodations will be considered.

Job Responsibilities

  • Manage the accounting close on a monthly basis including but not limited to preparing and reviewing journal entries and balance sheet reconciliations
  • Prepare technical accounting memorandums as needed as well as continue to improve on and strengthen the internal control environment
  • Report fully reviewed financial information in a timely and accurate manner to the VP of Finance and Accounting
  • Implement new tools (ERP projects as well as excel projects) to aid in the accounting close to increase efficiency
  • Work with supply chain and sales to identify opportunities to improve processes and reduce cost
  • Help to manage annual audits, filings, taxes, and corporate accounting activities
  • Foster an environment of continuous improvement to identify, develop, and implement process changes to increase efficiency, ensure accurate monthly reporting, and streamline accounting processes
  • Lead the treasury management function and report to the cash inflow and outflow weekly as well as reporting borrowing base calculations for a line of credit to the lender.
  • Calculate and report covenants to leadership

Requirements / Qualifications

  • 5-8 years management experience in Accounting and Finance
  • Accounting or Finance bachelor’s degree strongly preferred
  • CPA is required and public accounting experience is a bonus!
  • Highly organized, adaptable, able to flourish in fast-paced startup environment
  • A roll-up-your-sleeves attitude and entrepreneurial spirit
  • Excellent verbal and written communication skills with the ability to articulate issues in easy-to-understand business terms to key decision makers
  • Strong prioritization skills with ability to manage multiple projects simultaneously
  • You Excel in Excel! Love of spreadsheets is required.

How To Apply

Apply through GoRemotely.

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