Business Controller at TGS
Houston, TX 77041, USA -
Full Time


Start Date

Immediate

Expiry Date

28 Nov, 25

Salary

0.0

Posted On

28 Aug, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Operating Expenses, Finance, Revenue

Industry

Financial Services

Description

TGS provides scientific data and intelligence to companies active in the energy sector. In addition to a global, extensive and diverse energy data library, TGS offers specialized services such as advanced processing and analytics alongside cloud-based data applications and solutions.
We are seeking a Business Controller to join our team in Houston.
In this role, you will take ownership of financial activities and provide strategic support for the Imaging & Technology business area. You’ll be hands-on in safeguarding financial integrity, tracking performance, and delivering actionable insights that enable better decision-making.
As a trusted partner to business leaders, the Business Controller collaborates closely with other finance functions and cross-functional teams to ensure seamless service delivery, drive performance, and help the business meet its financial objectives.

Key Responsibilities:

  • Financial Planning & Analysis: Lead budgeting and forecasting aligned with business goals.
  • Performance Monitoring: Track financial performance, conduct variance analysis, and recommend improvements.
  • Reporting: Deliver financial reports and dashboards; ensure timely and accurate corporate reporting.
  • Cost Management: Identify cost drivers and improve profitability.
  • Cash Flow Oversight: Manage daily cash flows in coordination with Treasury.
  • Compliance: Apply IFRS policies and TGS performance measures.
  • Business Partnering: Advise leaders on financial planning, investments, and resource allocation.

Key Competencies

  • Strong financial and analytical skills.
  • Effective communicator across all levels.
  • Collaborative mindset with cross-functional teams.
  • Deep business insight and attention to detail.
  • Proactive approach to driving business success.

Requirements:

  • Degree in Accounting or Finance.
  • Experience in commercial finance (required).
  • Oil & Gas industry experience (preferred).
  • No direct reports, but responsible for operating expenses, revenue, and P&L.
Responsibilities
  • Financial Planning & Analysis: Lead budgeting and forecasting aligned with business goals.
  • Performance Monitoring: Track financial performance, conduct variance analysis, and recommend improvements.
  • Reporting: Deliver financial reports and dashboards; ensure timely and accurate corporate reporting.
  • Cost Management: Identify cost drivers and improve profitability.
  • Cash Flow Oversight: Manage daily cash flows in coordination with Treasury.
  • Compliance: Apply IFRS policies and TGS performance measures.
  • Business Partnering: Advise leaders on financial planning, investments, and resource allocation
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