Controller in at National Credit Recovery Inc
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Job Description
Position Overview
We are seeking a Controller with strong overseas financial and operational experience to manage and strengthen our financial infrastructure across Canada, the U.S., and Asia.
This role is both strategic and hands-on, responsible for financial reporting, global cost control, inventory and supply chain finance, and supporting executive decision-making in a fast-moving retail and import/distribution environment.
The ideal candidate is comfortable working across time zones, managing offshore teams, and handling complex multi-currency, multi-entity financial structures.
Key Responsibilities
Financial Management & Reporting
- Oversee all accounting operations including GL, AP, AR, inventory accounting, and month-end close
- Prepare and analyze monthly, quarterly, and annual financial statements
- Ensure accuracy of consolidated financial reporting across Canada, U.S., and overseas entities
- Maintain compliance with accounting standards, tax regulations, and internal policies
Budgeting, Forecasting & Cash Flow
- Lead annual budgeting and rolling forecasts
- Manage cash flow planning, especially seasonal demand cycles (including CNY and peak retail seasons)
- Monitor bank covenants, credit lines, and financing requirements for inventory and operations
- Support strategy for optimizing and exiting high-cost or special financing arrangements
Inventory & Supply Chain Finance
- Oversee landed cost analysis (freight, duties, tariffs, FX impact)
- Work closely with overseas suppliers and procurement teams
- Support overseas buying decisions and product cost optimization
- Improve inventory visibility and turnover performance
Business & Strategic Support
- Provide financial insights to support executive decision-making and business expansion
- Work closely with sales, e-commerce, and operations teams on margin optimization
- Identify cost-saving opportunities and operational efficiencies
- Support growth strategies in North America, Europe, and Asia markets
Controls, Systems & Process Improvement
- Develop and enforce internal controls and financial policies
- Lead ERP optimization and financial system improvements
- Work with tools such as QuickBooks systems
- Improve reporting automation and data accuracy
Leadership & External Coordination
- Manage and mentor accounting staff and/or offshore finance teams
- Liaise with external auditors, banks, and financial institutions (e.g., Royal Bank of Canada)
- Maintain strong relationships with lenders and support financing requirements
- Coordinate with tax advisors and compliance partners
Qualifications
- Bachelor’s degree in Accounting, Finance, or related field
- CPA or CMA designation preferred
- 5+ years in accounting/finance, including 2+ years in a Controller or leadership role
- Strong understanding of financial reporting, taxation, and internal controls
- Experience in manufacturing, import/export, or consumer goods (big-box retail preferred)
- Experience with cross-border operations (Canada/US/Asia)
- Strong Excel skills and ERP system experience (QuickBooks, Fishbowl or similar)
- Strong analytical, organizational, and problem-solving abilities
- Ability to work in fast-paced, multi-channel retail environment
Preferred / Nice-to-Have
- Experience managing overseas finance teams or outsourced accounting teams
- Familiarity with e-commerce and marketplace business models
- Exposure to digital marketing or performance-based sales channels
- Interest in AI tools, automation, and financial analytics
- Experience supporting export growth programs (e.g., CanExport grants)
- Familiarity with big-box retail customers and promotional cycles
- Understanding of seasonal cash flow cycles (including Chinese New Year impacts)