Youngsoft, Inc. ( is a global software solutions IT company, delivering digital enterprise business betterment since 1996. Through collaborative engagement and discovery with our clients and vendors, we co-create industry specialized digital products, applications software, process, programs, and project outcomes. Headquartered in metro-Detroit, we leverage "pods" of Subject Matter Experts, Business Analysts, Solutions Architects, Software Engineers, and Project Managers, fused with HyperCare through our Global Support Centers. Through inclusivity, we share a singular vision to deliver world-class measurable upside results to our customers. It takes a village – come join ours! Job Summary: A Financial Controller for a US-based IT services company with a back office in India and subsidiary companies in USA and India - responsible for financial operations, Treasury and banking operations, working capital management, ensuring compliance, financial audits driving business growth and stakeholder expectations management. Experience in the staffing, consulting, or professional services industry is a strong plus. Key Responsibilities: Financial Planning & Analysis (FP&A) Lead and manage budgeting, forecasting, and financial modeling Analyze revenue trends, margin performance, and headcount profitability Prepare monthly and quarterly dashboards, KPIs, and board reporting Financial Reporting: Finalize financial statements, including P&L, balance sheet, and cash flow statements, and ensure compliance with regulatory requirements Accounting – Bookkeeping and reporting Own and manage the general ledger and month-end/year-end close process Audit and review of financial statements - As per US GAAP including external auditor relationship Maintain accounting policies and procedures documentation Oversee AP, AR, payroll, timesheet reconciliations, and intercompany accounting Taxation – Direct & Indirect Ensure compliance with federal/state tax regulations and internal controls Manage sales tax, reporting, and labor-related compliances (relevant in staffing) Taxation: tax planning, compliance, and payouts, including all types of direct and indirect tax as applicable to the company Handle all C Corp/S Corp related taxation as applicable Compliance – internal and external Ensure internal control process Ensure all Finance and accounts and corporate law related compliance, as applicable Cash & Treasury Management Cash and fund management including banking documentation, relationship and compliances. Investment and monitoring of surplus at optimised return Working capital Management- daily / monthly cash management including debtors and creditors management. Tracking and controlling the payments and receivables Team Leadership, Collaboration and strategic Finance Lead a team of finance and accounting professionals Work closely with HR, operations, and recruiting teams to align financial workflows with business needs Support systems integration and process automation initiatives Collaborate with management to provide information to support sales and profitability growth. To manage stakeholders’ expectations Identify opportunities for automation and implement efficiency improvements in financial workflows Cross Border team management Please respond with your updated resume, contact information You can direct apply here :
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