
Controller (Latam)
Sagan RecruitmentWhat You'll Do
Key Responsibilities:
Build and strengthen reconciliation and month-end close infrastructure.
Establish reliable processes for account reconciliations, financial reporting, and financial controls.
Improve the accuracy, consistency, and timeliness of financial data.
Develop clear cash flow and cash visibility reporting for leadership.
Identify gaps and inconsistencies across financial systems and implement practical solutions.
Build reporting and analysis around provider, payer, referral, and profitability performance.
Partner with leadership to translate financial information into actionable business insights.
Establish repeatable financial processes that can scale with company growth.
Support budgeting, forecasting, variance analysis, and financial planning.
Improve financial reporting workflows, documentation, and controls.
Collaborate with operations and other stakeholders to understand financial drivers.
Build a stronger foundation for data-driven financial and operational decision-making.
Establish functional reconciliation, close, cash visibility, and initial profitability reporting capabilities within the first 90 days.
What We're Looking For
POSITION: Controller (Latam)
Location: Remote (LATAM)
Schedule: Monday to Friday, 9:00 AM - 5:00 PM (EST) (At least 4 hours of overlap with U.S. Eastern Time)
Compensation: 2000 - 5000 USD/month (depending on location and experience)
Note: Independent contractor position
WE'RE LOOKING FOR SOMEONE WHO HAS:
- Build and strengthen reconciliation and month-end close infrastructure.
- Establish reliable processes for account reconciliations, financial reporting, and financial controls.
- Improve the accuracy, consistency, and timeliness of financial data.
- Develop clear cash flow and cash visibility reporting for leadership.
- Identify gaps and inconsistencies across financial systems and implement practical solutions.
- Build reporting and analysis around provider, payer, referral, and profitability performance.
- Partner with leadership to translate financial information into actionable business insights.
- Establish repeatable financial processes that can scale with company growth.
- Support budgeting, forecasting, variance analysis, and financial planning.
- Improve financial reporting workflows, documentation, and controls.
- Collaborate with operations and other stakeholders to understand financial drivers.
- Build a stronger foundation for data-driven financial and operational decision-making.
- Establish functional reconciliation, close, cash visibility, and initial profitability reporting capabilities within the first 90 days.
If you meet these requirements, we'd love to receive your application.
Additional Information
Experience Level
Mid-Level
Employment Type
full-time
Work Mode
Remote