Who we are - We are web-based video-on-demand networks with a focus on adult entertainment, based out of Downtown Miami.
We are a group of creative souls with diverse backgrounds.
If you are also a true believer of work hard & play hard, this is the place to be.
At PSM, you will enjoy a fun & casual environment, team-building retreats, startup spirits, and great benefits. What we do - We discover what excites the world and deliver it seamlessly to our members!
We are the creators of top sites you know and love.
We are leading the industry by using cutting-edge technologies to deliver top-quality content.
Our content and websites are published exclusively and enjoyed by millions of fans worldwide. What we are looking for - Paper Street Media, LLC is hiring for a FULL-TIME Controller.
The primary role of the Controller is to have full responsibility for the Company’s financial reporting activities, own and drive all aspects of the accounting and financial.
This role requires a solid team player, hardworking, and true guru in corporate accounting operations.
This role is to build out a world-class team, implement best practices, and help scale the company.
It is an excellent opportunity for someone eager to expand their responsibilities beyond accounting to financial modeling and analysis as the company grows.
This job is a HYBRID position.
The job will expose you to the content of adult nature.
If this is something you are not comfortable with please do not apply. We will contact you via email only.
We will not contact you via phone calls or any 3rd party messaging system.
Please be aware of any job offer scam.
The job will start on a 90-day probationary period.
Learn more about us here (link to http :
- / / paperstreetmedia.com / ) What You'll Be Doing : Corporate Financial & Accounting, including : Lead, develop and mentor team members.
- Review and analyze business units’ financials reporting. Lead a timely and accurate financial close process, review close deliverables (journal entries, reconciliations, commitments, disclosures, etc), and summarize financial results for management reporting.
- Ensure compliance with GAAP standards, regulatory requirements, and other business practices.
- Prepare financial and managerial reports for senior management. Assist in preparing consolidated monthly financial statements, annual budget, and monthly rolling forecast.
- Along with financial planning and analysis.
- Coordinate audit activities, backup, and distribution of information for tax reporting and compliance purposes in accordance with financial rules and regulations.
- Participate in the implementation of internal control procedures and accounting policies.
- Assist executives and other team members in the maintenance of relationships tied with banking, payment processing, and other business activities.
- Address opportunities and issues as they present themself in an adaptive and agile manner without disrupting accounting team processes.
- Identify risk areas in a high-growth environment and implement mitigation strategies, including but not limited to team structure, workflow, cross-functional collaboration and system and process changes.
- Maintain relationships with third-party service providers and / or other resources including CPAs.
- Drive process improvements and contribute to exciting projects that achieve scalability and efficiency.
- Perform other accounting-related tasks as needed.
Content Accounting, including :
Present cost-saving opportunities to the Leadership Team through financial analysis and discovery.Oversee the accounting of content and content-related contracts for our licensed and owned titles.Review documentation of content agreements, which includes interpreting contractual terms and understanding the application of our accounting policies.Must Haves :
Bachelor’s degree in Accounting required; master’s degree and CPA highly preferred.Minimum 7 years of performing accounting functions in a corporate environment; Subscription-based product / SaaS / Information System / Media industry experience is a plus. 3-5 years quality senior, manager and / or Controller experience preferred.Solid understanding of accounts payable, receivables, cash management, intercompany accounting, and fixed asset accounting.The ability to perform GAAP research for advanced accounting topics is a plus.An ability to work with internal colleagues and partners with a focus on problem-solving in a positive and customer service-focused approach.Sound business ethics, high level of integrity, and ability to preserve sensitive and confidential data.Good communication skills, strong analytic skills and can perform well in a fast-paced work environment.Expert knowledge of QuickBooks, Excel, and financial systems experience.Experience with payroll is a plus.Problem-solving and decision-making capacity in a high-growth environment.Demonstrated ability to build new capabilities, with a process orientation.Proven record of mentoring and developing talent.Positive, solution-focused attitude, especially in coordination across teams Comfortable leading teams through ambiguity and being a champion of change.Passionate and persistent about operational excellence.Powered by JazzHR