Own the monthly close process: Manage journal entries, reconciliations, and month-end close across multiple acquired entities to deliver timely, accurate consolidated financials.
Build and maintain scalable accounting infrastructure: Design and implement a unified Chart of Accounts and accounting policies optimized for multi-entity consolidation and rapid acquisition integration.
Lead acquisition integrations and purchase accounting: Drive opening balance sheet prep, system cut-overs from QuickBooks/manuals to ERP, and operationalize the integration playbook for new acquisitions.
Drive ERP selection and implementation: Own migration to Sage Intacct or NetSuite, managing vendors, data migration, and ensuring ERP supports high-velocity acquisition volume.
Partner with founders and stakeholders: Deliver board-level financial reporting, KPI scorecards, cash forecasting, and act as a strategic finance partner in deal screening and capital allocation.
Requirements
Proven Multi-Unit Roll-Up Controller: Direct experience leading acquisition integrations end to end in a fast-paced M&A setting, ensuring finance doesn’t become a bottleneck.
Hands-On Builder with Tech Savvy: A working-Controller mindset comfortable in the trenches—handling journal entries, month-end close, and building scalable accounting infrastructure, while proactively leveraging AI and automation to optimize finance ops.
Strong Private Equity & Sponsor Reporting Experience: Fluency in multi-entity consolidations, sponsor reporting cadence, and crafting board packages with KPI scorecards, cash forecasts, and variance commentary, aligned with PE-backed board expectations.