Financial Controller

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Logo of Aspire Software

Aspire Software

1001 - 5000 employees

🏨 Hospitality

📦 Logistics

🏗️ Construction

Hospitality • Logistics • Construction

Aspire Software is a company that focuses on acquiring and nurturing businesses with a strong foundation in outstanding products and passionate teams. As part of the Valsef Group, Aspire Software offers resources, knowledge, and a suite of best practices to enhance and expand operations for continuous improvement and sustainable growth. The company emphasizes decentralization to unlock innovation and adaptability within its acquired entities. Aspire Software is dedicated to serving its customers through long-term technology partnerships, leveraging capital and expertise in various verticals to grow both the businesses and individuals involved.

📋 Description

• Oversee cash management, liquidity planning, and short- and long-term cash flow forecasting • Manage banking relationships, credit facilities, and treasury operations • Optimize working capital across accounts receivable, accounts payable, and other balance sheet items • Lead corporate tax compliance and planning activities • Oversee SR&ED claims and related documentation and filings • Lead annual budgeting, periodic forecasting, and long-range financial planning • Provide financial analysis for strategic and operational decision-making • Partner with business leaders to assess performance, investments, and key initiatives • Lead and support strategic projects, including M&A activities and acquisition integration • Partner cross-functionally on due diligence, financial analysis, process alignment, and integration planning • Prepare accurate monthly, quarterly, and annual financial statements • Deliver management, consolidation, and portfolio roll-up reporting • Maintain internal controls and accounting policies in compliance with IFRS and applicable standards • Manage the external audit process and related deliverables • Improve reporting processes, systems, and data quality • Lead, mentor, and develop the finance team • Establish objectives, performance expectations, and accountability • Build scalable financial processes and promote continuous improvement

🎯 Requirements

• Oversee cash management, liquidity planning, and short- and long-term cash flow forecasting • Manage banking relationships, credit facilities, and treasury operations • Optimize working capital across accounts receivable, accounts payable, and other balance sheet items • Ensure effective controls and visibility over cash and funding positions • Lead corporate tax compliance and planning activities • Oversee SR&ED claims and related documentation and filings • Coordinate with external tax advisors and auditors • Lead annual budgeting, periodic forecasting, and long-range financial planning • Provide timely, accurate financial analysis for strategic and operational decision-making • Partner with business leaders to assess performance, investments, and key initiatives • Monitor financial risks and variances and provide recommendations to management • Lead and support M&A and acquisition integration projects • Conduct due diligence, financial analysis, process alignment, and integration planning • Prepare monthly, quarterly, and annual financial statements • Deliver management, consolidation, and portfolio roll-up reporting • Maintain internal controls and accounting policies in compliance with IFRS and applicable standards • Manage external audit processes and deliverables • Lead, mentor, and develop the finance team

🏖️ Benefits

• Competitive salary • Company Match Plan • Group Benefits • Flexible work environment

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