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Accounting & Finance | Controller in Westlake VIllage, California at One Capital Management LLC

Salary: $150000 - $180000Job Function: Accounting/Finance
One Capital Management LLC
Westlake VIllage, California, 91361, United States
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Job Description

Description:

Financial Reporting & Accounting

  • Lead month-end and year-end close processes, including preparation of general ledger entries, P&L and balance sheet reconciliations, and variance analysis
  • Oversee Revenue and Expense recognition, inter-company transfers, and accrual and reserve reconciliations
  • Prepare and review Regulatory disclosures and ensure compliance with applicable accounting standards (US GAAP)
  • Manage daily, monthly, and quarterly reporting requirements across the division
  • Partner with external and internal auditors to coordinate responses and prepare supporting documentation

Client Billing & Revenue Operations

  • Own and manage the end-to-end client billing process for wealth management accounts, including fee calculations, billing cycles, and invoice review
  • Ensure accuracy of advisory fees, AUM-based billing, and performance fee schedules across all client accounts
  • Collaborate with advisors and client service teams to resolve billing discrepancies and respond to client inquiries in a timely manner
  • Implement and maintain billing controls and audit trails to support compliance and operational efficiency
  • Partner with technology teams to optimize billing systems and automate processes where possible

Team Leadership & Development

  • Build, manage, and mentor an accounting team, establishing clear roles, responsibilities, and performance expectations

Financial Reporting & Accounting

  • Lead month-end and year-end close processes, including preparation of general ledger entries, P&L and balance sheet reconciliations, and variance analysis
  • Oversee Revenue and Expense recognition, inter-company transfers, and accrual and reserve reconciliations
  • Prepare and review Regulatory disclosures and ensure compliance with applicable accounting standards (US GAAP)
  • Manage daily, monthly, and quarterly reporting requirements across the division
  • Partner with external and internal auditors to coordinate responses and prepare supporting documentation

Client Billing & Revenue Operations

  • Own and manage the end-to-end client billing process for wealth management accounts, including fee calculations, billing cycles, and invoice review
  • Ensure accuracy of advisory fees, AUM-based billing, and performance fee schedules across all client accounts
  • Collaborate with advisors and client service teams to resolve billing discrepancies and respond to client inquiries in a timely manner
  • Implement and maintain billing controls and audit trails to support compliance and operational efficiency
  • Partner with technology teams to optimize billing systems and automate processes where possible

Team Leadership & Development

  • Build, manage, and mentor an accounting team, establishing clear roles, responsibilities, and performance expectations
  • Foster a culture of accuracy, accountability, and continuous improvement within the finance function
  • Provide coaching and professional development opportunities to grow team capabilities and succession depth
  • Manage team workload and resource allocation to ensure timely and accurate deliverables

Cross-Functional Partnership

  • Serve as a trusted finance partner to business unit leaders, advisors, CFO, Legal, Operations, Treasury, and HR
  • Lead or support ad-hoc projects and strategic initiatives as directed by senior leadership
  • Maintain and update process documentation and internal procedures to support scalability and risk management
  • Adhere to and reinforce the firm's risk, regulatory, and compliance standards across all activitieses, and performance expectations
  • Foster a culture of accuracy, accountability, and continuous improvement within the finance function
  • Provide coaching and professional development opportunities to grow team capabilities and succession depth
  • Manage team workload and resource allocation to ensure timely and accurate deliverables

Cross-Functional Partnership

  • Serve as a trusted finance partner to business unit leaders, advisors, CFO, Legal, Operations, Treasury, and HR
  • Lead or support ad-hoc projects and strategic initiatives as directed by senior leadership
  • Maintain and update process documentation and internal procedures to support scalability and risk management
  • Adhere to and reinforce the firm's risk, regulatory, and compliance standards across all activities
Requirements:
  • Bachelor's degree in Accounting, Finance, or a related field; CPA strongly preferred
  • 7+ years of progressive accounting or finance experience, with at least 3 years in a supervisory or team leadership role
  • Prior experience in wealth management, financial services, or a related industry required
  • Demonstrated experience managing client billing operations, including advisory fee structures and AUM-based billing
  • Strong knowledge of US GAAP and financial reporting standards
  • Proven ability to build and develop high-performing accounting teams
  • Exceptional analytical skills with experience working across large, complex data sets
  • Advanced proficiency in Microsoft Excel and PowerPoint; experience with accounting or billing platforms (e.g., Orion, Tamarac, Black Diamond, NetSuite, or similar) a plus
  • Outstanding communication skills with the ability to present financial information clearly to both technical and non-technical audiences
  • High degree of integrity, attention to detail, and ability to manage multiple priorities in a deadline-driven environment

Job Location

Westlake VIllage, California, 91361, United States

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