




Position Summary: At Solid River Capital, we are seeking a Controller for our Service Center to ensure financial management, oversee accounting processes, and support decision-making. Key Highlights: 1. Lead and develop the financial services and controller business unit 2. Drive internal and external offerings of accounting and tax services 3. Contribute to revenue generation and expansion to new clients At **Solid River Capital**, we are looking for a **Controller for our Service Center**, a key role to ensure sound financial management, control over accounting processes, and monitoring of metrics that support business decision-making. This position will have the opportunity to contribute to strengthening the financial operations of the corporate center, working closely with various departments to guarantee efficiency, transparency, and compliance in processes. **Role Purpose** Lead and develop the financial services and controller business unit, ensuring technical excellence, regulatory compliance, and operational efficiency. The role has a strategic and commercial focus, driving internal and external offerings of accounting, tax, treasury, and control services, contributing to revenue generation, financial sustainability, and expansion into new clients and markets. **Key Responsibilities** Business Unit Leadership – Controller * Define the value proposition of financial services. * Design the operating model and pricing structure. * Participate in contract negotiation and structuring. * Identify opportunities for expansion and new services. * Ensure profitability and sustainability of the unit. Accounting Oversight and Compliance * Validate monthly accounting closings. * Ensure compliance with IFRS and local regulations. * Support financial consolidation of subsidiaries. * Standardize accounting policies and manuals. Tax Strategy and Fiscal Control * Design regional tax strategy. * Ensure fiscal compliance in each country. * Implement intercompany methodologies and transfer pricing. * Manage tax audits and reviews. Treasury and Payroll * Coordinate cash flow and payment execution. * Supervise payroll and labor provisions. * Manage banking relationships and account controls. Internal Control and Reporting * Design financial and operational controls. * Liaise with tax reviewers and external auditors. * Prepare monthly financial reports and consolidations. * Implement financial and compliance dashboards. Digital Transformation * Lead ERP implementation. * Automate closing and reconciliation processes. * Standardize financial reports and workflows. * Implement KPIs for operational efficiency. **Required Profile** **Education:** * Public Accounting * Tax specialization or related field preferred **Knowledge:** * IFRS * LATAM Taxation **(Mandatory experience)** * Financial consolidation * Internal control * Conversational English **(Mandatory. Minimum B2 conversational level)** **Experience:** * 7–10 years in this role or similar positions * Experience in at least 2 LATAM countries **(Mandatory)** * ERP experience (Odoo, SAP, NetSuite or other) * Experience in BPO, Shared Services, or healthcare sector (preferred) **Key Competencies:** * Strategic leadership * Structured thinking * Organization and results orientation * Business acumen **What We Offer:** \-Remote work arrangement \-Participation in strategic and regional projects \-Competitive market-aligned salary Employment Type: Full-time


