Job Information
Live Nation LN Concerts, VP of Finance & Accounting in Burbank, California
Job Summary:
ABOUT THE COMPANY
Redrock Entertainment (http://redrockla.com/) is a multi-purpose end-to-end entertainment management and production company made up of award-winning creatives with over 30 years' experience managing iconic artist talent, creating unique brand content, and producing large-scale global live events. With extensive and multi-disciplinary experience in Entertainment, the Founders of Redrock Entertainment continue to lead the industry by focusing on what matters most — people. The world’s most iconic brands and artists choose us because we build relationships, experiences, and dreams that last a lifetime. We specialize in Film & Event Production, Talent Management, Creative Strategy, and Digital Media.
POSITION DESCRIPTION
The Controller is responsible for overseeing all accounting and financial operations of Redrock Entertainment's multiple entities. This includes managing the finance & accounting teams, maintaining financial records, preparing reports and financial statements, managing cash flow, ensuring compliance with accounting standards and regulations across standalone and consolidated financials, driving process improvements, and collaborating cross-functionally.
KEY RESPONSIBILITIES
Finance and Accounting Management:
Oversee and manage the day-to-day operations of the finance & accounting teams
Ensure accurate and timely recording of all financial transactions for each entity
Maintain and enforce proper accounting policies, procedures, and internal controls for standalone and consolidated processes
Manage accounts payable, accounts receivable, payroll, and other accounting functions across entities
Production Accounting Oversight:
Supervise and manage the outsourced production accounting team
Review and approve production budgets, cost reports, and financial settlements
Ensure proper coding, authorization, and documentation of production costs
Monitor spending against approved budgets and analyze variances Payroll Administration:
Oversee all payroll processes including timekeeping, processing, and reporting
Ensure compliance with federal, state, and local payroll regulations and tax laws
Manage payroll systems, third-party vendors, and internal payroll staff Financial Reporting and Analysis:
Prepare monthly, quarterly, and annual financial statements in accordance with GAAP for each entity and consolidated financials
Analyze financial data and prepare ad-hoc reports as needed for standalone and consolidated performance
Conduct budget preparation and variance analysis at the project, entity, and consolidated levels
Provide financial analysis and insights to support business decisions across entities Cash Flow Management:
Forecast, monitor, and manage cash flow to ensure adequate liquidity for each entity and consolidated operations
Oversee cash receipts, disbursements, and bank reconciliations across entities Compliance and Risk Management:
Ensure compliance with relevant accounting standards, regulations, and tax laws for each entity and consolidated operations
Oversee the annual audit process and liaise with external auditors for standalone and consolidated audits (when applicable)
Identify and mitigate financial risks across entities
Implement and maintain effective internal controls for standalone and consolidated processes
Process Improvements:
Continuously evaluate and improve accounting processes, systems, and internal controls
Identify opportunities to streamline operations, increase efficiency, and reduce costs
Implement new technologies and automation to enhance financial processes
Develop and deliver training programs to ensure consistent application of processes Cross-Functional Collaboration:
Work closely with other departments, such as operations, production, IT, and marketing, to align financial goals and strategies
Provide financial guidance and support to cross-functional teams and projects
Collaborate with stakeholders to develop financial models and forecasts for new initiatives
Participate in strategic planning and decision-making processes Team Management:
Recruit, train, and supervise accounting staff for entity-level and consolidated operations
Foster a positive and productive work environment
Provide guidance and support to team members across entities Qualifications:
Bachelor's degree in Accounting, Finance, or a related field
CPA certification preferred
Minimum of 5 years of experience in a senior accounting or finance role, including multi-entity experience
Minimum of 2 years of accounting experience in an Entertainment Production and/or Creator environment
Production Accounting knowledge strongly preferred
Extensive knowledge of GAAP, financial reporting, and financial analysis for standalone and consolidated operations
Payroll experience required - paylocity and ADP would be a bonus
Strong analytical, problem-solving, and process improvement skills
Excellent communication, collaboration, and leadership abilities
Experience with Oracle workspace preferred
Experience with QBO, bill.com, Paylocity, ADP, AirTable, preferred
At Redrock Entertainment, we truly believe our success is achieved by the strength and heart of our people. Not only do we embrace and celebrate the diversity of our ideas and experiences, we also strive for the same in our employees. At Redrock, we are committed to equal employment opportunity regardless of race, color, ethnicity, ancestry, religion, national origin, gender, sex, gender identity or expression, sexual orientation, age, citizenship, marital or parental status, disability, veteran status, or other class protected by applicable law. We are proud to be an equal opportunity workplace.
The expected compensation for this position is:
$140,000.00 USD - $175,000.00 USD
** Pay is based on a number of factors including market location, qualifications, skills, and experience.