Volaris Group

vertical market software

PortfolioController&TreasuryManager

Winston-Salem, North Carolina, United States FULL TIME Remote Friendly
The Brief

“Portfolio Controller & Treasury Manager at Volaris Group. Skills: controllership, treasury function, technical accounting, IFRS, cash management, internal controls, audit. preparation and review of all portfolio month-end, quarter-end, and year-end close deliverables. statement of cash flows”

What You'll Achieve.

clean audit outcomes; raising reporting quality; reducing manual processing time; increasing capacity for higher-value analytical work; ensuring balances are accurately allocated and resolved; maintaining accurate portfolio-level cash visibility at all times

Industry & Context.

vertical market software
Problems you'll solve

Excellent analytical and problem-solving skills

Eligibility Requirements

International travel may be required for this role for business process review and acquisition integration

What They're Looking For.

Must Have

CPA, CA, or equivalent professional accounting qualification is required, Advanced Excel, Deep IFRS technical knowledge — specifically IFRS 15 (revenue recognition), IFRS 16 (leases), and IFRS 3 (business combinations / PPA), consolidation accounting experience is essential, Ability to perform under pressure and meet deadlines, High integrity and personal ethics, Desire to improve processes and systems rather than just keep the status quo, Excellent analytical and problem-solving skills, A ‘can-do’ attitude taking prepared to be held accountable for actions, behaviors and targets

Nice to Have

demonstrated experience using AI tools (Claude, Copilot, or equivalent) to automate finance, Python or Power Query experience is a advantage, Hands-on experience with OneStream and Great Plains is preferred, Excellent communication and interpersonal capable of working with cross-functional and international teams, Well organized, detail oriented and able to work variable hours when required

What You'll Do.

preparation and review of all portfolio month-end

and year-end close deliverables

statement of cash flows

dividend declarations

earnout/holdback calculations and payments

monthly cash requirements reporting

banking administration

and contingent consideration reconciliation

maintaining accurate portfolio-level cash visibility at all times

AI-assisted automation opportunities within the controllership and treasury function

intercompany reconciliation and recharges process across all entities

Maintain and enforce the portfolio’s internal controls framework and Risk Control

coordinate the internal and external audit processes

Maintain Employee Authorisations and Approval Matrices

ensure banking administration is current and all signatories are correctly maintained

Coordinate tax compliance obligations

Support acquisition integration from a technical accounting perspective

revenue recognition checklists

Build and maintain effective working relationships with entity finance

provide technical accounting guidance and policy clarification

How You'll Work.

Team & Collaboration

partnering with entity finance teams; primary interface with KPMG; working with cross-functional and international teams

Communication Scope

Excellent communication and interpersonal

Free ATS check

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