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Corporate ControllerOrbitMI IncUnited States
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Corporate Controller

OrbitMI Inc
  • US
    United States
  • US
    United States
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About

OrbitMI, Inc. | PE-Backed | Global Operations | High-Growth

OrbitMI is building the next generation of maritime intelligence software, trusted by leading operators, owners, and global enterprises. As we scale internationally and deepen our private-equity partnership, we're hiring a Corporate Controller to own and elevate our accounting function.

This is a
hands-on leadership role
for a proven accounting operator who wants full ownership of the close, controls, and financial integrity of a growing, multi-entity business.

Over the next 12–24 months, OrbitMI will continue to scale across entities, jurisdictions, and reporting requirements. The Corporate Controller will be a
core partner to the COO and executive team
, responsible for building a best-in-class accounting foundation that supports growth, audits, investor reporting, and strategic decision-making.

Key Responsibilities

Accounting Operations & Financial Close

  • Own and manage all general ledger accounting activities across the company and its subsidiaries.
  • Lead the monthly, quarterly, and annual close processes, ensuring accurate and timely consolidation and reporting.
  • Prepare and review consolidated financial statements in accordance with
    U.S. GAAP
    .
  • Ensure appropriate accounting treatment for revenue recognition, intercompany transactions, leases, equity, acquisitions, and other complex areas.
  • Maintain detailed supporting schedules and documentation to ensure audit-ready financials.

International & Multi-Entity Oversight

  • Oversee accounting for multiple international subsidiaries, including intercompany accounting, eliminations, and foreign currency considerations.
  • Coordinate with local accounting teams, external firms, and service providers to ensure timely and compliant statutory reporting in local jurisdictions.
  • Ensure consistent application of corporate accounting policies across all entities.

Financial Reporting & Compliance

  • Produce internal and external financial reports, including income statements, balance sheets, cash flow statements, and budget-to-actual analyses.
  • Support investor and lender reporting requirements by providing accurate financial data, schedules, and compliance documentation.
  • Assist with financial covenant calculations, compliance certifications, and reporting deliverables required under governing agreements, including the Share Purchase Agreement (SPA).
  • Ensure compliance with applicable accounting standards, tax requirements, and corporate governance policies.

Internal Controls & Accounting Policies

  • Establish, document, and maintain accounting policies, procedures, and internal controls that support scale and risk management.
  • Evaluate and enhance the control environment to support audit readiness, financial accuracy, and operational efficiency.
  • Ensure compliance with internal approval processes, authorization limits, and documentation standards.

Audit, Tax & External Advisor Management

  • Serve as the primary accounting lead for external audits and reviews, coordinating timelines, deliverables, and responses.
  • Partner with external auditors, tax advisors, and consultants to support statutory audits, tax compliance, and technical accounting matters across jurisdictions.
  • Prepare audit schedules, technical accounting memos, and statutory financial statements as required.

Treasury, Cash & Working Capital Oversight

  • Oversee accounts payable, accounts receivable, payroll accounting, and
  • United States

Languages

  • English
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