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Controller Treasurer Jobs in California (NOW HIRING)

... Controller - reporting directly to the Chief Accounting Officer (CAO). The level will be calibrated ... This role owns Record-to-Report (R2R), Treasury, and Tax - three critical pillars that underpin ...

... Controller - reporting directly to the Chief Accounting Officer (CAO). The level will be calibrated ... This role owns Record-to-Report (R2R), Treasury, and Tax - three critical pillars that underpin ...

The Controller ensures compliance with GAAP, Medicare and Medicaid reimbursement requirements ... Treasury & Cash Management * Oversee daily cash management activities. * Manage banking ...

Assistant Controller - Los Angele, CA * Key member of the accounting and finance leadership team ... Primary responsibility for treasury/cash management in addition to general accounting, financial ...

Controller

Chatsworth, CA · On-site

$185K - $210K/yr

Controller Expected compensation is $185,000-$210,000 DOE. Regency Supply is seeking an ... Lead treasury management activities and optimize the company's cash position and working capital.

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Controller

Los Angeles, CA · On-site

$150K - $180K/yr

Controls, Compliance, Risk Management & Treasury - Maintains strong internal controls and audit ... Controller or Assistant Controller role. * Strong knowledge of GAAP, financial reporting, and ...

Controller

Los Angeles, CA · On-site

$185 - $210/hr

Treasury, Cash Flow & BankingLead treasury management activities and optimize the company's cash ... Controller or comparable senior accounting leadership role.Demonstrated experience supporting an ...

New

$185 - $210/hr

Lead treasury management activities and optimize the company's cash position and working capital ... in a Controller or comparable senior accounting leadership role. * Demonstrated experience ...

New

The Controller will be responsible for the accuracy of all financial functions, including cost ... Cash management and treasury duties. Compile yearly audit schedules and assists with audit.

Manage treasury functions, cash flow, and compliance with lending/credit requirements * Oversee tax ... Controller

Controller

Merced, CA · On-site

$101K - $157K/yr

As a key member of the Business & Fiscal Services leadership team, the Controller oversees the ... Technical Accounting & Treasury Management * Provide technical management and operational oversight ...

Seeking a Real Estate/Construction Controller in the LA area. Must have Real estate investment ... Manage cash and treasury functions * Establish and maintain internal controls and related processes

Controller

Irvine, CA · On-site

$70 - $90/hr

Controller Location: Irvine, CA (On-site) Assignment Type: Temporary or Temp-to-Permanent ... Manage budgeting, cash flow forecasting, treasury activities, and banking relationships. * Serve as ...

SUMMARY The Assistant Controller is responsible for overseeing the day-to-day financial operations ... Treasury & Banking * Manage domestic and international banking activities. * Oversee wire transfers ...

Controller

Irvine, CA · On-site

$70 - $90/hr

Controller Location: Irvine, CA (On-site) Assignment Type: Temporary or Temp-to-Permanent ... Manage budgeting, cash flow forecasting, treasury activities, and banking relationships. * Serve as ...

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Controller Treasurer information

What is a controller treasurer?

Controller Treasurers are senior financial professionals responsible for managing an organization's accounting operations, financial reporting, and treasury functions. They oversee budgeting, financial planning, cash management, and ensure regulatory compliance. Their role often involves developing financial strategies, monitoring internal controls, and safeguarding the company's assets. Controller Treasurers typically work closely with executive management to support business decisions and long-term financial goals.

What are the key skills and qualifications needed to thrive as a controller treasurer?

To thrive as a Controller Treasurer, you need a strong background in accounting, finance, and financial reporting, typically supported by a degree in finance or accounting and relevant certifications like CPA or CMA. Proficiency in enterprise resource planning (ERP) systems, financial modeling tools, and regulatory compliance software is essential. Analytical thinking, attention to detail, leadership, and effective communication are standout soft skills in this position. These capabilities ensure accurate financial management, regulatory adherence, and strategic decision-making that support organizational growth and stability.

How does a controller treasurer typically collaborate with other departments to ensure effective financial management?

Controller Treasurers work closely with departments such as operations, sales, and human resources to ensure accurate budgeting, forecasting, and compliance with financial policies. They often facilitate cross-departmental meetings to review financial performance, address budget variances, and provide guidance on financial decision-making. Effective communication and relationship-building skills are key, as these professionals must translate complex financial data into actionable insights for non-financial colleagues. This collaborative environment helps maintain fiscal discipline and supports the organization's strategic goals.

What is the difference between Controller Treasurer vs Controller?

AspectController
Primary ResponsibilitiesOversees financial reporting, accounting, and internal controls
Focus AreaFinancial accuracy, compliance, and internal financial management
CertificationsCPA, CMA often preferred
Work EnvironmentCorporate finance departments, large organizations

The Controller and Treasurer roles both operate within corporate finance but focus on different areas. The Controller primarily manages accounting, financial reporting, and compliance, ensuring accurate financial statements. The Treasurer focuses on cash management, funding, and financial strategy. While both roles require financial expertise and certifications like CPA or CMA, their responsibilities and daily tasks differ significantly, making each essential for comprehensive financial management in organizations.

What are popular job titles related to Controller Treasurer jobs in California?

For Controller Treasurer jobs in California, the most frequently searched job titles are:

What job categories do people searching Controller Treasurer jobs in California look for?

The top searched job categories for Controller Treasurer jobs in California are:

What cities in California are hiring for Controller Treasurer jobs?

Cities in California with the most Controller Treasurer job openings:

Corporate Controller

ChargePoint

Campbell, CA • On-site

Full-time

Re-posted 20 days ago


Job description

Reports To

Senior Vice President, Chief Accounting Officer

What You Will Be Doing

ChargePoint is seeking a technically deep, operationally excellent accounting leader to serve as Corporate Controller - reporting directly to the Chief Accounting Officer (CAO). The level will be calibrated to the candidate's experience and capabilities; what is non-negotiable is a hands-on finance operator who blends rigorous accounting expertise with systems fluency, AI-tool command, and the leadership credibility to run a high-performing global team.

This role owns Record-to-Report (R2R), Treasury, and Tax - three critical pillars that underpin ChargePoint's financial integrity and capital efficiency. AR, Revenue, Payroll, Stock Administration, and Internal Audit sit separately under the CAO structure, allowing the Controller to maintain focused depth across their three domains. The scope spans a complex, multi-entity global organization with operations across North America, Europe and India, SEC reporting obligations, and an active agenda of automation and AI-enabled transformation.

The ideal candidate has walked the full path: Big 4 foundation, deep ERP and reporting-system experience, a proven track record deploying AI and automation in a finance context, and demonstrated breadth across controllership, treasury, and tax in a publicly traded company. Experience in high-tech, clean energy, or manufacturing is essential.

What You Will Bring to ChargePoint

Record-to-Report (R2R) / Controllership

  • Own the global accounting close - monthly, quarterly, and annual - with relentless focus on cycle-time reduction, accuracy, and scalability; actively engineer process improvements rather than merely managing them.
  • Oversee all corporate accounting operations: consolidations, intercompany eliminations, foreign currency translation, fixed assets, accounts payable, and global statutory reporting across all legal entities.
  • Ensure timely, accurate internal and external financial reporting, including SEC filings (10-K, 10-Q, 8-K) and global statutory compliance; own the technical accounting review for complex or novel transactions.
  • Architect and lead automation initiatives across the R2R stack - deploying AI tools, other automations, and advanced analytics to eliminate manual work, reduce error, and scale operations without proportional headcount growth.
  • Design, implement, and maintain a rigorous SOX 302/404 internal control framework; own audit readiness and manage the external auditor relationship.
  • Define and track controllership KPIs - close cycle time, error rates, automation coverage, control deficiencies - and report regularly to the CAO.
  • Build, develop, and retain a high-performing global R2R team; model hands-on leadership, willing to go deep in systems and data alongside the team.

Treasury

  • Own global treasury operations: daily cash positioning, short-term liquidity management, cash flow forecasting, and bank relationship management across all operating geographies.
  • Develop and execute treasury policy covering investment guidelines, counterparty risk, FX hedging strategy, and intercompany cash pooling.
  • Manage foreign currency exposure - identify, quantify, and mitigate FX risk through appropriate hedging instruments in coordination with external advisors and the CAO.
  • Oversee all global banking infrastructure: account structures, signatories, payment controls, and treasury management systems; ensure segregation of duties and strong controls over cash disbursements.
  • Lead debt compliance and reporting obligations, including covenant monitoring, lender reporting, and capital structure analysis.
  • Partner with FP&A and the CAO on cash flow planning, capital allocation scenarios, and liquidity modeling to inform strategic decision-making.
  • Evaluate and implement treasury technology enhancements - TMS optimization, payment automation, and cash visibility tools.

Tax

  • Oversee the global tax function in partnership with external advisors and any in-house tax resources; ensure timely, accurate tax provision (ASC 740) on a quarterly and annual basis.
  • Manage federal, state, and international income tax compliance, including review of tax returns, extensions, and estimated payments prepared by third-party advisors.
  • Drive transfer pricing governance - maintain intercompany agreements, benchmarking studies, and documentation aligned with OECD guidelines and local statutory requirements.
  • Coordinate on R&D tax credits, FIN 48 / uncertain tax positions, and other material tax attributes; maintain appropriate reserves and disclosures in SEC filings.
  • Support tax planning initiatives in collaboration with Legal and Finance leadership, including entity structuring, international expansion, and M&A diligence.
  • Ensure compliance with indirect taxes (Sales Tax/VAT/GST) across US, Canada, Europe and other international jurisdictions; partner with operations and legal on sales tax nexus and compliance; ensure market place facilitator (MPF) compliance and system support globally.
  • Manage tax audit risk - respond to federal, state, and international inquiries; coordinate with external advisors to defend positions and minimize exposure.

Cross-Functional Leadership & Finance Transformation

  • Serve as a systems-fluent finance partner across the organization - collaborating with FP&A, IT, Legal, and Operations to align accounting infrastructure with broader business strategy.
  • Lead and drive major finance transformation initiatives: ERP optimization (Oracle NetSuite), chart-of-accounts governance, reporting-layer modernization, and adoption of AI-enabled close and reconciliation tools.
  • Contribute to SEC disclosure processes, including review of Management's Discussion & Analysis (MD&A), footnote preparation, review and tie out, and coordination with external auditors on complex accounting matters.
  • Support investor relations and audit committee reporting as a credible, senior technical accounting voice.
Requirements
  • Education: Bachelor's or Master's degree in Accounting or Finance; CPA required.
  • Experience: 15+ years of progressive accounting and finance experience in publicly traded companies (20+ for VP-level candidates); minimum 7 years in a senior leadership role managing global, multi-entity teams.
  • Public accounting: Big 4 background with a strong audit and technical accounting foundation.
  • Scope: Demonstrated leadership across at least two of three domains - R2R/Controllership plus Treasury and Tax - in a complex multinational environment.
  • SEC / technical accounting: Deep expertise in U.S. GAAP, including ASC 606 (revenue), ASC 842 (leases), ASC 718 (stock comp), ASC 740 (income taxes), and consolidation / intercompany accounting.
  • SOX: Deep familiarity with SOX 302/404 - design, documentation, testing, and remediation at scale.
  • ERP: Hands-on expertise with Oracle NetSuite, including configuration, chart-of-accounts design, reporting modules, and close workflow automation; able to sit with the systems team and drive solutions, not just direct from the sidelines.
  • Automation mindset: Proven track record deploying workflows and automations, AI-assisted reconciliation, or intelligent close tools that measurably reduced manual effort and error rates.
  • Leadership style: Hands-on and credibility-first - equally comfortable presenting to the CAO and rolling up sleeves to diagnose a consolidation issue or a treasury cash break.
  • Sector: Proven experience in multinational publicly traded companies; high-tech, clean energy, or manufacturing strongly preferred.

Preferred Qualifications

  • Experience in both SaaS and hardware/manufacturing environments, including OEM, channel, and subscription revenue models.
  • Background in companies with $500M-$2B+ revenue undergoing rapid growth, system scaling, or post-IPO maturation.
  • Experience managing or co-leading a treasury function, including FX hedging, bank relationship management, and TMS tools.
  • Hands-on experience implementing or significantly expanding AI-powered finance tools - AI-assisted close, anomaly detection, automated reconciliation (BlackLine, Trintech, or equivalent).
  • Proficiency in data analytics and BI tools (Power BI, Tableau, Looker) - ability to build finance dashboards, not just consume them.
  • Experience drafting and defending complex technical accounting positions; familiarity with SEC comment letter processes.
  • International tax experience, including transfer pricing documentation, VAT/GST compliance, and multi-jurisdiction filing coordination.
Location

Campbell, CA
ChargePoint is committed to fair and equitable compensation practices. The targeted US salary range for roles at this operating level is $200,000 to $300,000. This range represents base salary and does not reflect equity, benefits or variable pay where applicable. Actual base salaries are based on several factors unique to each candidate, including but not limited to skill set, experience, certifications and specific work location.