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Financial Controller - Careers at Robert Half

Robert Half

Financial Controller - Careers at Robert Half

full-timePosted: Feb 4, 2026

Job Description

Financial Controller Opportunity at Robert Half in Philadelphia, PA

Robert Half, a leader in finance and accounting recruitment, is excited to present an exceptional career opportunity for a Financial Controller with a prestigious company in the heart of Philadelphia, Pennsylvania, United States. This permanent, full-time position offers a competitive salary starting at $120,000 annually, reflecting the high level of responsibility and expertise required. If you're an ambitious finance professional seeking to lead accounting operations, drive strategic financial initiatives, and make a tangible impact on business growth, this role is your next career milestone.

Philadelphia's vibrant business landscape, combined with Robert Half's renowned reputation for placing top talent, makes this Financial Controller position highly sought-after. Gain exposure to cutting-edge accounting systems, treasury management, and executive-level reporting while working in a collaborative environment that values integrity, leadership, and innovation.

About the Role

As the Financial Controller, you will serve as the cornerstone of the company's financial operations, planning and directing all accounting functions. This leadership role involves managing the consolidation of financial data for both internal decision-making and external reporting. You'll analyze and strengthen internal control systems, mentor a high-performing team, and deliver exceptional client service with urgency and accountability. Reporting directly to senior leadership, you'll play a pivotal role in shaping the company's financial strategy in Philadelphia's dynamic market.

This position demands a positive professional attitude, unwavering integrity, and the ability to motivate others. With Philadelphia's robust economy spanning healthcare, finance, and technology sectors, you'll contribute to a well-respected organization poised for expansion.

Key Responsibilities

Your day-to-day impact will be profound, encompassing a wide array of critical functions:

  • Design, implement, and maintain robust finance and accounting policies, providing hands-on oversight for Accounts Payable, Accounts Receivable, and Payroll.
  • Execute core accounting duties like preparing journal entries, reconciling balance sheets, and accurately recording payroll transactions.
  • Lead treasury operations, including meticulous bank reconciliations, cash flow forecasting, and liquidity optimization.
  • Spearhead the configuration and deployment of a state-of-the-art accounting system, ensuring seamless integration with business processes and full compliance with regulations.
  • Audit and maintain asset and inventory schedules, expertly handling depreciation calculations and impairment recognitions.
  • Orchestrate month-end and year-end closes, compile precise financial statements, and collaborate with external auditors for smooth reviews.
  • Produce insightful monthly, quarterly, and annual financial reports tailored for stakeholders, enabling data-driven decisions.
  • Drive budgeting and forecasting initiatives, dissecting revenue streams, cost structures, and cash flows to align with long-term organizational objectives.
  • Deliver in-depth variance analysis and strategic recommendations to boost profitability and operational efficiency.

Required Qualifications

To excel in this Financial Controller role, candidates must possess:

  • A Bachelor's degree in Accounting, Finance, or a related discipline; CPA certification strongly preferred.
  • At least 7 years of progressive experience in accounting or finance, with proven supervisory leadership.
  • Demonstrated success in implementing and optimizing ERP or accounting systems like NetSuite or SAP.
  • Deep expertise in GAAP, internal controls, and financial compliance standards.
  • Strong analytical skills, advanced proficiency in Microsoft Excel, and familiarity with financial modeling tools.
  • Exceptional leadership abilities to inspire teams, coupled with excellent communication for stakeholder engagement.
  • Experience in treasury management, budgeting, forecasting, and audit support.

Philadelphia-based candidates or those willing to relocate will have a distinct advantage in this competitive market.

Why Join Us?

Joining Robert Half means partnering with a global powerhouse in talent solutions, gaining access to unparalleled professional growth opportunities. This Financial Controller position offers not just a job, but a career-defining role with substantial rewards. Enjoy a competitive salary package of $120,000-$150,000, comprehensive benefits including health insurance, 401(k) matching, paid time off, and performance bonuses. Benefit from hybrid work flexibility, continuous training, and a supportive culture that prioritizes work-life balance.

Philadelphia, PA, offers an ideal backdrop with its rich history, thriving job market, and proximity to major East Coast hubs. SEO keywords: Financial Controller jobs Philadelphia, Accounting Manager careers PA, Finance leadership roles USA. Apply now through Robert Half to secure your future in finance leadership!

Locations

  • Philadelphia, Pennsylvania, United States

Salary

120,000 - 150,000 USD / yearly

Estimated Salary Rangehigh confidence

120,000 - 150,000 USD / yearly

* This is an estimated range based on market data and may vary based on experience and qualifications.

Skills Required

  • Financial Reportingintermediate
  • Accounting Systems Implementationintermediate
  • Month-End Close Processesintermediate
  • Budgeting and Forecastingintermediate
  • Treasury Managementintermediate
  • Variance Analysisintermediate
  • Internal Controlsintermediate
  • Payroll Processingintermediate
  • Audit Supportintermediate
  • Cash Flow Managementintermediate

Required Qualifications

  • Bachelor's degree in Accounting, Finance, or related field (experience)
  • CPA certification preferred (experience)
  • 7+ years of progressive accounting experience, including supervisory roles (experience)
  • Proven experience implementing ERP/accounting systems (experience)
  • Strong knowledge of GAAP and financial regulations (experience)
  • Excellent leadership and team management skills (experience)
  • Proficiency in financial software (e.g., QuickBooks, SAP, NetSuite) (experience)
  • Advanced Excel skills and data analysis capabilities (experience)
  • Experience with treasury operations and cash flow forecasting (experience)
  • Demonstrated ability to drive process improvements (experience)

Responsibilities

  • Design, implement, and manage comprehensive finance and accounting policies, overseeing Accounts Payable, Accounts Receivable, and Payroll functions
  • Perform critical accounting tasks including journal entries, balance sheet reconciliations, and payroll transaction recording
  • Manage treasury operations such as bank reconciliations, cash flow reporting, and liquidity management
  • Configure, deploy, and optimize a new accounting system to meet business needs and ensure regulatory compliance
  • Maintain and audit fixed asset and inventory schedules, including depreciation tracking and impairment assessments
  • Oversee month-end and year-end close processes, prepare accurate financial statements, and facilitate external audits
  • Generate timely monthly, quarterly, and annual financial reports for internal management and external stakeholders
  • Lead budgeting, forecasting, and financial planning efforts, analyzing revenue, costs, and cash flows to support strategic goals
  • Conduct variance analysis and provide actionable recommendations to enhance financial performance and operational efficiency

Benefits

  • general: Competitive salary range of $120,000 - $150,000 annually
  • general: Comprehensive health, dental, and vision insurance plans
  • general: 401(k) retirement savings plan with company matching
  • general: Generous paid time off and holiday schedule
  • general: Professional development opportunities and tuition reimbursement
  • general: Flexible work arrangements including hybrid options
  • general: Performance-based bonuses and incentives
  • general: Employee assistance programs and wellness benefits

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Robert Half logo

Financial Controller - Careers at Robert Half

Robert Half

Financial Controller - Careers at Robert Half

full-timePosted: Feb 4, 2026

Job Description

Financial Controller Opportunity at Robert Half in Philadelphia, PA

Robert Half, a leader in finance and accounting recruitment, is excited to present an exceptional career opportunity for a Financial Controller with a prestigious company in the heart of Philadelphia, Pennsylvania, United States. This permanent, full-time position offers a competitive salary starting at $120,000 annually, reflecting the high level of responsibility and expertise required. If you're an ambitious finance professional seeking to lead accounting operations, drive strategic financial initiatives, and make a tangible impact on business growth, this role is your next career milestone.

Philadelphia's vibrant business landscape, combined with Robert Half's renowned reputation for placing top talent, makes this Financial Controller position highly sought-after. Gain exposure to cutting-edge accounting systems, treasury management, and executive-level reporting while working in a collaborative environment that values integrity, leadership, and innovation.

About the Role

As the Financial Controller, you will serve as the cornerstone of the company's financial operations, planning and directing all accounting functions. This leadership role involves managing the consolidation of financial data for both internal decision-making and external reporting. You'll analyze and strengthen internal control systems, mentor a high-performing team, and deliver exceptional client service with urgency and accountability. Reporting directly to senior leadership, you'll play a pivotal role in shaping the company's financial strategy in Philadelphia's dynamic market.

This position demands a positive professional attitude, unwavering integrity, and the ability to motivate others. With Philadelphia's robust economy spanning healthcare, finance, and technology sectors, you'll contribute to a well-respected organization poised for expansion.

Key Responsibilities

Your day-to-day impact will be profound, encompassing a wide array of critical functions:

  • Design, implement, and maintain robust finance and accounting policies, providing hands-on oversight for Accounts Payable, Accounts Receivable, and Payroll.
  • Execute core accounting duties like preparing journal entries, reconciling balance sheets, and accurately recording payroll transactions.
  • Lead treasury operations, including meticulous bank reconciliations, cash flow forecasting, and liquidity optimization.
  • Spearhead the configuration and deployment of a state-of-the-art accounting system, ensuring seamless integration with business processes and full compliance with regulations.
  • Audit and maintain asset and inventory schedules, expertly handling depreciation calculations and impairment recognitions.
  • Orchestrate month-end and year-end closes, compile precise financial statements, and collaborate with external auditors for smooth reviews.
  • Produce insightful monthly, quarterly, and annual financial reports tailored for stakeholders, enabling data-driven decisions.
  • Drive budgeting and forecasting initiatives, dissecting revenue streams, cost structures, and cash flows to align with long-term organizational objectives.
  • Deliver in-depth variance analysis and strategic recommendations to boost profitability and operational efficiency.

Required Qualifications

To excel in this Financial Controller role, candidates must possess:

  • A Bachelor's degree in Accounting, Finance, or a related discipline; CPA certification strongly preferred.
  • At least 7 years of progressive experience in accounting or finance, with proven supervisory leadership.
  • Demonstrated success in implementing and optimizing ERP or accounting systems like NetSuite or SAP.
  • Deep expertise in GAAP, internal controls, and financial compliance standards.
  • Strong analytical skills, advanced proficiency in Microsoft Excel, and familiarity with financial modeling tools.
  • Exceptional leadership abilities to inspire teams, coupled with excellent communication for stakeholder engagement.
  • Experience in treasury management, budgeting, forecasting, and audit support.

Philadelphia-based candidates or those willing to relocate will have a distinct advantage in this competitive market.

Why Join Us?

Joining Robert Half means partnering with a global powerhouse in talent solutions, gaining access to unparalleled professional growth opportunities. This Financial Controller position offers not just a job, but a career-defining role with substantial rewards. Enjoy a competitive salary package of $120,000-$150,000, comprehensive benefits including health insurance, 401(k) matching, paid time off, and performance bonuses. Benefit from hybrid work flexibility, continuous training, and a supportive culture that prioritizes work-life balance.

Philadelphia, PA, offers an ideal backdrop with its rich history, thriving job market, and proximity to major East Coast hubs. SEO keywords: Financial Controller jobs Philadelphia, Accounting Manager careers PA, Finance leadership roles USA. Apply now through Robert Half to secure your future in finance leadership!

Locations

  • Philadelphia, Pennsylvania, United States

Salary

120,000 - 150,000 USD / yearly

Estimated Salary Rangehigh confidence

120,000 - 150,000 USD / yearly

* This is an estimated range based on market data and may vary based on experience and qualifications.

Skills Required

  • Financial Reportingintermediate
  • Accounting Systems Implementationintermediate
  • Month-End Close Processesintermediate
  • Budgeting and Forecastingintermediate
  • Treasury Managementintermediate
  • Variance Analysisintermediate
  • Internal Controlsintermediate
  • Payroll Processingintermediate
  • Audit Supportintermediate
  • Cash Flow Managementintermediate

Required Qualifications

  • Bachelor's degree in Accounting, Finance, or related field (experience)
  • CPA certification preferred (experience)
  • 7+ years of progressive accounting experience, including supervisory roles (experience)
  • Proven experience implementing ERP/accounting systems (experience)
  • Strong knowledge of GAAP and financial regulations (experience)
  • Excellent leadership and team management skills (experience)
  • Proficiency in financial software (e.g., QuickBooks, SAP, NetSuite) (experience)
  • Advanced Excel skills and data analysis capabilities (experience)
  • Experience with treasury operations and cash flow forecasting (experience)
  • Demonstrated ability to drive process improvements (experience)

Responsibilities

  • Design, implement, and manage comprehensive finance and accounting policies, overseeing Accounts Payable, Accounts Receivable, and Payroll functions
  • Perform critical accounting tasks including journal entries, balance sheet reconciliations, and payroll transaction recording
  • Manage treasury operations such as bank reconciliations, cash flow reporting, and liquidity management
  • Configure, deploy, and optimize a new accounting system to meet business needs and ensure regulatory compliance
  • Maintain and audit fixed asset and inventory schedules, including depreciation tracking and impairment assessments
  • Oversee month-end and year-end close processes, prepare accurate financial statements, and facilitate external audits
  • Generate timely monthly, quarterly, and annual financial reports for internal management and external stakeholders
  • Lead budgeting, forecasting, and financial planning efforts, analyzing revenue, costs, and cash flows to support strategic goals
  • Conduct variance analysis and provide actionable recommendations to enhance financial performance and operational efficiency

Benefits

  • general: Competitive salary range of $120,000 - $150,000 annually
  • general: Comprehensive health, dental, and vision insurance plans
  • general: 401(k) retirement savings plan with company matching
  • general: Generous paid time off and holiday schedule
  • general: Professional development opportunities and tuition reimbursement
  • general: Flexible work arrangements including hybrid options
  • general: Performance-based bonuses and incentives
  • general: Employee assistance programs and wellness benefits

Target Your Resume for "Financial Controller - Careers at Robert Half" , Robert Half

Get personalized recommendations to optimize your resume specifically for Financial Controller - Careers at Robert Half. Takes only 15 seconds!

AI-powered keyword optimization
Skills matching & gap analysis
Experience alignment suggestions

Check Your ATS Score for "Financial Controller - Careers at Robert Half" , Robert Half

Find out how well your resume matches this job's requirements. Get comprehensive analysis including ATS compatibility, keyword matching, skill gaps, and personalized recommendations.

ATS compatibility check
Keyword optimization analysis
Skill matching & gap identification
Format & readability score

Tags & Categories

Robert Half CareersJobs in Philadelphia, PAFinancial Controller PositionsAccounting Jobs PennsylvaniaFinance Leadership RolesFinanceAccountingAdmin

Answer 10 quick questions to check your fit for Financial Controller - Careers at Robert Half @ Robert Half.

Quiz Challenge
10 Questions
~2 Minutes
Instant Score

Related Books and Jobs

No related jobs found at the moment.