Controller
AidKit · Remote (United States) · remote
Controller
Full TimeRemote (United States)$130,000 - $160,000 plus equity
About AidKitAidKit’s cutting-edge technology transforms complex cash assistance programs into streamlined, secure, and dignified experiences. By seamlessly connecting applicants to vital resources, we're making aid radically accessible for diverse populations—including unhoused and unbanked. From simplifying complex benefits modernization projects for state agencies to standing up efficient disaster relief programs, AidKit helps it’s partners deliver aid with dignity.
We were our own first customer—AidKit started as a nonprofit initiative born from the need to support systematically excluded workers during the early days of the COVID-19 pandemic. Today, AidKit provides the technology backbone for some of the nation's most innovative public safety net programs, having distributed hundreds of millions of dollars to people in need.
As we continue to grow rapidly, the opportunity for impact is immense. Apply to join our team if you're seeking meaningful work in an environment that trusts your judgment and values your unique contributions.
About the RoleThe Controller is AidKit's senior internal accounting leader and is accountable for the integrity of our books, accounting judgments, financial close, financial reporting, controls, and audit readiness. This is a hands-on Controller role in a small company. You will personally lead core accounting work while also owning the systems, processes, and controls that allow the function to operate reliably at scale.
At AidKit, the Controller role also has meaningful responsibility for treasury and payment operations, with support. Because our platform supports tens of thousands of payments each month, our accounting function cannot be disconnected from how money actually moves through the business. You will own the financial lifecycle of company and program funds, including treasury, banking, payment-provider reconciliation, AR, AP, and the connection between operational payment activity and the general ledger.
You are not expected to manually execute every transaction or personally resolve every routine payment exception. You are expected to maintain and improve the systems in which those activities are controlled, reconciled, visible, appropriately delegated, and escalated when necessary.
The role will generally break down as follows:
- Approximately 60% — Accounting & Controller responsibilities
Financial close, general ledger, accounting judgments, revenue accounting, reconciliations, financial reporting, audit readiness, AR/AP accounting, and financial controls.
- Approximately 20% — Treasury & payment operations oversight
Cash and banking oversight, program funds, payment-provider reconciliation, payment controls, funding readiness, treasury operations, and material payment or funding exceptions.
- Approximately 10% — Systems, automation & process improvement
Improving financial systems, reducing manual work, strengthening documentation and controls, creating scalable workflows, and partnering with Engineering and Business Operations on financial infrastructure.
- Approximately 10% — Tax preparation & compliance
Coordinating corporate income tax preparation with external tax advisors, managing sales and franchise tax obligations, maintaining accurate supporting records and filing calendars, and ensuring required filings and payments are completed accurately and on time.
The Controller reports directly to the CEO and works closely with AidKit's fractional CFO, who owns FP&A and advises the company on forecasting, pricing, financial planning, scenario modeling, and other strategic finance matters.
What You'll OwnAccounting and Financial CloseYou will be fully accountable for the accuracy and integrity of AidKit's books.
- Own the monthly and annual financial close process along with subsidiary ledgers
- Maintain the general ledger and ensure transactions are accurately recorded and classified
- Prepare and review balance sheet reconciliations and supporting schedules
- Own accounting for accruals, pre-paids, payroll, receivables, payables, deferred items, program funds, and other significant accounts
- Make and document accounting judgments and ensure consistent application of accounting policies
- Own revenue accounting and ensure revenue schedules tie to underlying contracts, operational activity, and source systems
- Review financial statements for completeness and accuracy before close
- Identify and resolve accounting issues before they result in post-close adjustments
- Produce reliable monthly financial reporting and supporting analysis
- Maintain an accounting environment that is continuously audit-ready
ReconciliationYou will own the complete financial reconciliation framework connecting operational systems to AidKit's books.
- Establish reconciliation standards, schedules, documentation, and exception-management processes
- Ensure bank accounts reconcile to the general ledger
- Ensure payment-provider balances reconcile to underlying transaction activity and the general ledger
- Ensure program-fund records reconcile to funding received, payments made, fees, returns, and remaining balances
- Ensure AR and AP sub-ledgers reconcile to the general ledger
- Investigate unexplained or aged reconciling items and drive them to resolution
- Build controls that identify discrepancies quickly rather than discovering them months later
There should not be a gap between operational reconciliation and accounting reconciliation. The Controller is ultimately responsible for ensuring the entire chain reconciles.
Accounts ReceivableYou will own the financial integrity of AidKit's billing and collections processes.
- Maintain billing schedules based on executed contracts and confirmed program milestones
- Partner with Program Management and Contracts to confirm billing triggers where necessary and ensure ASC 606 revenue recognition alignment
- Prepare and send invoices and routine collections follow-ups; apply cash receipts; reconcile AR aging; and resolve billing and payment discrepancies.
- Maintain visibility into expected and overdue partner payments
- Escalate material collection issues
- Ensure AR activity is accurately reflected in the general ledger and revenue schedules
- Improve and automate billing and collection workflows wherever practical
Accounts Payable and Spend OperationsYou will own AidKit's AP and spend-control environment.
- Prepare vendor records and bills; own final accounting review, expense classification, the Ramp-to-Rillet sync, and payment preparation and release within established approval controls.
- Partner with People Operations on employee cards, receipt collection, reimbursements, and preliminary expense coding (we use Ramp).
- Ensure expenditures are appropriately authorized, documented, classified, and recorded
- Own AP cutoff and expense accrual processes
- Maintain accurate vendor and payable records
- Maintain appropriate segregation of duties and approval controls
- Improve and automate recurring AP and expense workflows
Program Funds and Payment OperationsAidKit's partners entrust us with significant amounts of money that ultimately need to reach program participants accurately and reliably. The Controller owns the financial integrity of that lifecycle.
- Maintain financial oversight of program funds from receipt through disbursement and final closeout
- Verify receipt and availability of partner funding before payments begin; complete financial payment-readiness checks; and administer RoboController fund anticipation and program subledgers.
- Own financial account and subledger setup for new programs, coordinating launch timing and requirements with Operations.
- Maintain visibility into program balances, disbursements, fees, returned payments, outstanding transactions, and remaining funds
- Oversee financial controls around participant payment oper