Senior Financial Controller
Wandrian, Boston, MA, United States
About Us
Wandrian is a leading travel company specializing in Italy-focused experiences, with operations spanning the US, Canada, and Italy. Our company is made up of various sub-companies, collectively delivering world-class Italian travel services and products under our brand umbrella, Wandrian. As we continue to expand, we are seeking a Senior Financial Controller to ensure seamless financial operations across all entities and regions.
Role Overview
The Senior Financial Controller will oversee and manage the financial operations of our sub-companies across the US, Canada, and Italy. Reporting directly to the CFO, you will be responsible for financial reporting, consolidation, forecasting, and compliance across multiple entities. You will play a critical role in maintaining accurate financial data, ensuring compliance with local regulations, and leading the integration of our financial systems, with a focus on NetSuite ERP.
Key Responsibilities
- Financial Management & Reporting
Oversee the preparation of accurate and timely monthly, quarterly, and annual financial reports for all entities, consolidating the results across US, Canada, and Italy. Experience with multi-currency accounting is highly desirable. - Financial Analysis & Forecasting
Conduct detailed financial analysis and forecasting to provide insights into business performance. Develop and maintain financial models to support long-term strategic planning. - Budgeting & Cost Control
Lead the annual budgeting process and provide ongoing variance analysis. Ensure effective cost management and drive initiatives for cost optimization. - Compliance & Audit
Ensure compliance with local tax laws, regulations, and financial reporting standards across the US, Canada, and Italy. Manage external audits and ensure timely completion of audit reports. - Financial Systems Integration
Oversee the effective integration of NetSuite ERP across all sub-companies. Work closely with the IT and finance teams to ensure seamless financial operations and system consistency. - Cash Flow & Treasury Management
Manage cash flow across entities, ensuring optimal liquidity levels. Oversee treasury functions, including foreign currency transactions and banking relationships. - Leadership & Team Development
Lead and mentor the finance teams across regions, fostering a culture of collaboration and continuous improvement. Provide strategic leadership in driving financial best practices.
- Experience
- Bachelor's degree in Finance, Accounting, or a related field (CPA, CMA, or equivalent certification preferred).
- Minimum 8-10 years of experience in financial management, preferably in a travel or multinational company.
- Familiarity with US GAAP.
- Technical Skills
- Strong proficiency in accounting systems (NetSuite ERP is preferred).
- Advanced knowledge of financial consolidation, budgeting, forecasting, and variance analysis.
- Strong command of financial modeling and data analysis using Excel or equivalent tools.
- Languages
- Fluency in English is required.