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Financial Controller​/Senior Bookkeeper; Multi- Portfolio - Remote

Remote / Online - Candidates ideally in
Kuwait
Listing for: Scalesource
Full Time, Remote/Work from Home position
Listed on 2026-03-13
Job specializations:
  • Finance & Banking
    Financial Reporting, CFO
Salary/Wage Range or Industry Benchmark: 15000 - 30000 KWD Yearly KWD 15000.00 30000.00 YEAR
Job Description & How to Apply Below
Position: Financial Controller / Senior Bookkeeper (Multi-Company Portfolio) - Remote -

Financial Controller / Senior Bookkeeper (Multi-Company Portfolio) – Remote

Location:

Remote (Outside the United States)

Schedule:

Full-Time | 40+ hours per week Compensation: $1200 to $1500 USD

Reports To:

Founder & Leadership Team Systems:
Quick Books Online, EOS Scorecards, CPA coordination

Employment Type:

Full-Time | Remote

Looking to build a long-term remote career while operating as the financial backbone of multiple growing U.S. businesses? At Scale Source, we partner with expanding U.S. companies to build long-term remote leadership and operations teams worldwide. This role offers the opportunity to move beyond traditional bookkeeping and take ownership of financial operations across multiple businesses and industries.

This role offers :
  • Stable, full-time remote work paid in USD
  • Exposure to multiple industries and business models
  • Direct partnership with founders and executive leadership
  • Opportunity to grow into a portfolio finance leadership role
  • High-impact position influencing strategic decisions
About the Role

This is not a single-company bookkeeping position; we are seeking a Financial Controller to own financial accuracy, reporting, compliance, and financial visibility across a diverse, multi-entity business portfolio. You will ensure clean books, proactive cash flow management, regulatory compliance, and reliable reporting so leadership can make confident business decisions.

Success in this role requires ownership, precision, and comfort managing multiple companies simultaneously.

Portfolio Companies Supported:
Entities currently include:

  • Professional services businesses
  • Real estate and rental holdings
  • Franchise retail and service operations
  • Manufacturing businesses
  • Nearshore/offshore staffing operations
  • Regulated production businesses (additional companies may be added as the portfolio grows)
Core Responsibilities
  • Weekly Financial Management
    • Reconcile accounts weekly across all entities in Quick Books Online
    • Maintain audit‑ready financial records
    • Investigate and resolve discrepancies proactively
  • Accounts Payable Management
    • Ensure accurate vendor bill entry and categorization
    • Manage payment schedules and AP balances
    • Coordinate payments with internal stakeholders
  • Accounts Receivable & Collections
    • Generate and issue invoices as required
    • Track collections and aging reports
    • Provide weekly AR updates with recommended actions
  • Sales Tax & Compliance
    • Prepare and file required sales tax submissions
    • Maintain exemption and compliance documentation
    • Keep records audit‑ready
  • Cash Flow Forecasting
    • Produce bi‑weekly cash flow forecasts per entity
    • Identify risks, surpluses, and timing challenges
    • Support leadership decisions regarding cash usage
  • Budget vs. Actual Reporting
    • Prepare monthly variance analysis per business
    • Identify margin issues or overspending trends
    • Recommend cost control or reinvestment strategies
  • Regulatory & Corporate Filings
    • Manage franchise taxes and business registrations
    • Maintain licenses and renewals
    • Support compliance in regulated industries
  • EOS Scorecards & Leadership Support
    • Prepare financial scorecards per entity
    • Support weekly leadership meetings
    • Provide financial clarity for leadership decisions
  • CPA Coordination
    • Coordinate monthly review meetings with CPA partners
    • Prepare documentation for tax filings
    • Ensure year‑end readiness through proactive organization
  • Financial Analysis & Planning
    • Support expansion and growth analysis
    • Assist in investment and feasibility modeling
What You Bring

Required Experience:

  • 5+ years experience as Controller or Senior Bookkeeper
  • Advanced Quick Books Online expertise, including multi‑entity management
  • Experience managing AP, AR, sales tax, and compliance processes
  • Ability to manage finances across multiple businesses simultaneously
  • Advanced Excel or Google Sheets skills
  • Strong written and verbal English communication skills
Certification Requirement

CPA Certified OR CPA‑Eligible (meets requirements to sit for the CPA exam under NASBA International Exam guidelines). Reference: (Use the "Apply for this Job" box below)./

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Position Requirements
10+ Years work experience
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