What are the responsibilities and job description for the Controller position at John Michael Kohler Arts Center?
The Controller plays an essential role in sustaining the financial integrity of the John Michael Kohler Arts Center — a nationally recognized, artist-centered institution based in Sheboygan, Wisconsin. Reporting to the Chief Financial Officer, the Controller brings technical precision, proactive systems thinking, and a collaborative spirit to the full range of accounting functions: from general ledger management and payroll to audit preparation, budgeting, and grant reporting. This is a role for someone who finds purpose in infrastructure — who understands that disciplined financial stewardship is what allows bold, meaningful creative work to happen.
Essential Duties and Responsibilities:
An individual in this position must be able to successfully perform the essential duties and responsibilities listed below. Reasonable accommodation may be made to enable individuals with disabilities to perform the essential functions of this position.
- Maintains the integrity of the general ledger and preparestimelyfinancial entries that accurately reflect the organization’s business activity.
- Performs statistical analyses todeterminetrends, estimates, and significant changes, and writes narrative reports explaining findings.
- Analyzes financial information detailing assets, liabilities, and capital, and prepares balancesheets, profit and loss statements, and other reports to summarize and interpret current and projected company financial position.
- Monitors compliance withgenerally acceptedaccounting principles and company procedures.
- Reviews, investigates, and corrects errors and inconsistencies in financial entries, transactions, documents, and reports.
- Evaluates, implements, andmaintainsaccounting systems and internal control procedures to ensure accuracy, compliance, and operational efficiency.
- Devises and implements systems for general accounting including bank and balance sheet reconciliations as needed to support internal control procedures.
- Prepares annual financial analysis for Property and Employee benefits insurance renewal.
- Monitors cash flow and provides management recommendations to the Chief Financial Officer.
- Assists Chief Financial Officer with administration of the bank credit card system. Monitors bank positive pay systems andassistin ACH payments.
- Monitors ongoing compliance with the Public Charities Support Test.
- Processes bi-weekly payroll, and related benefit payments. Create relateddisbursementsfor general ledger.
- Coordinate and support all matters related to the annual financial audit and preparation of the annual tax filings.
- Manages the annual budgeting process. Accumulate, review, andconsolidatedepartmental budgets for management review.
- Provide financial reporting support for grant requests as needed and asrequired.
- Other ad hoc financial analysis and reporting as requested.
Knowledge, Skills & Abilities:
- Supervisory & Management skills, with experience developing and supporting direct reports
- Strong written and verbal communication skills, including the ability to present financial information clearly to non-financial audiences
- Collaborative, solutions-oriented approach; brings resourcefulness and initiative to complex or ambiguous situations
- Proficiencyin accounting software, payroll systems, and Microsoft Office Suite, particularly Excel
- Familiarity with nonprofit fund accounting and grant reporting requirements, and compliance with GAAP
- Comfortoperatingacross departments and building relationships with program, development, and administrative staff