© 2019 Kerauno, LLC.

All Rights Reserved

151 N. Delaware Street
Indianapolis, IN 46204



Corporate Controller




Kerauno, LLC is seeking a forward-thinking Controller to join our accounting staff in supporting the business and effectively managing our administrative functions through rapid growth. In this role, you would be responsible for maintaining the accounting records and preparing accurate and timely financial reports. As a core member of the accounting team, you will report to the VP of Finance and will be a key contributor to the financial success, structure, and growth of the Company.

In the role of Controller, the successful candidate will own all accounting, financial controls, reconciliations, and compliance for the Company. She/he will partner with outside counsel and accountants to lead internal and external company audits; will work to ensure adequate systems and processes are in place to effectively measure the business and follow approved accounting procedures; will manage payroll with confidentiality and accuracy; will ensure financial and board reporting is available and accurate for our financial health; and will partner with the VP of Finance in our forecasting and budgeting processes including tracking performance against those benchmarks for our operating teams.

We are looking for a confident self-starter with a flawless attention to detail; someone who is resourceful and able to think creatively in establishing systems and processes in support of our Company initiatives. Growth is the key focus for all departments and this role is to ensure the accounting functions are not a bottleneck to that growth but rather a force the provides visibility and clarity into our options and helps to maintain solid financial discipline.



  • Ensure accounting functions are operating efficiently, effectively, and in line with the needs of the business

  • Oversee the invoicing, payroll processing, payments, accounting, and reconciliation functions, including complete oversight of the company general ledgers

  • Manage the monthly close process, including the preparation of the monthly financial statements

  • Prepare consolidated financial reports where necessary, including reconciling intercompany charges and allocations among individual companies

  • Analyze financial statements and data for discrepancies and other issues or trends; make actionable recommendations for improvement and cost reduction

  • Summarize monthly/quarterly/annual financial performance and assist with investor packages

  • Manage cash flows, including the A/R and A/P functions and future cash projections

  • Update dashboards and SaaS metrics weekly and monthly

  • Coordinate all preparation of business tax reports, filings, and related matters both internally and with third parties to ensure compliance with Federal and various states’ regulatory requirements

  • Oversee billing, payroll processing, accounting, closing and reconciliation functions

  • Establish, monitor, and enforce effective internal controls, policies, and procedures

  • Handle customer billing issues and manage vendor relationships

  • Respond to upper management with accurate and timely work product

  • Participate in a wide variety of special projects and compile a variety of special reports



  • Strong application of US GAAP is a must

  • Understanding of other applicable policies, laws, and regulations

  • Ability to handle highly confidential data with ease and amongst appropriate levels

  • High ethical standards and an appropriate professional image

  • Strong numerical proficiency combined with excellent use of logic

  • Highly detail-oriented; organized in work; exercise sound and defensible judgment

  • Exceptional interpersonal, communication, and presentation skills

  • Strong critical thinking, problem-solving, and analytical skills

  • Dedicated and driven to meet reasonable and appropriate deadlines

  • Act and operate independently with minimal direction/supervision

  • Work cooperatively and collaboratively with all levels of employees and management; work hard and play nice with others

  • Ability to deliver quality work on tight deadlines, with strong organizational and priority-setting skills to manage projects effectively and efficiently



  • Bachelor’s degree in Accounting

  • CPA designation preferred

  • Minimum of 8+ years in an accounting role with relevant work experience, including experience managing staff

  • Experience and understanding of a SaaS company

  • Advanced computer skills and knowledge, specifically in Excel

  • Intimate knowledge of QuickBooks and/or other SaaS-based accounting software packages

  • Required language(s): Fluent English



Kerauno is a global Communications Workflow as a Service (CWaaS) platform that powerfully connects people, process, software and systems. Through the infusion of key modes of communication including voice, SMS text, chat, email and social media, Kerauno amplifies existing business software to provide strategic insights and actionable analytics across all forms of communication which affect every industry and vertical.


Headquartered in Indianapolis, Kerauno has created a global customer base that relies on its mobile-centric communications workflow platform to optimize business processes, enhance customer and employee engagements, and drive revenue to the bottom line.


  • Kerauno: 2016 UC Product of the Year by TMCnet

  • Kerauno: 2016 Best Cloud Solution at ITExpo

  • Kerauno: 2017 UC Product of the Year by TMCnet


If you are ready to join a fun and amazing team, with an incredible culture, excellent benefits, unlimited growth potential, and the opportunity to be highly impactful and truly make a difference, fill out the form below.