What are the responsibilities and job description for the Controller position at PROOF OPERATIONS LLC?
The Relationship: As our Controller, you will become a key partner in developing, monitoring, governing, and evaluating the overall corporate strategy, planning & analysis, focusing on bottom-line financial and operating performance while enhancing investor, shareholder & stakeholder value. Governing real estate assets, investment venture/fund & portfolio company reporting, accounting, treasury, and budgeting will be a primary focus.
The role also includes a heavy focus on Corporate Finance, Investor Relations, and Strategic Initiatives, including analytics, predictive modeling, and strategic planning during a period of rapid growth, expansion, and acquisitions.
Who we are: We are a rapidly expanding, comprehensive, privately owned pest control firm offering a special opportunity to the marketplace and the right individual. Our transaction volume, complexity, growth, and strategic objectives are quickly elevating our demand and need for an exceptional, experienced, driven, high-performance Controller to partner with our executive leadership in our mission to succeed. Finding the right person who is highly collaborative, performance-focused, grounded in facts-based reality, highly motivated, and a strategic thinking controller is a critical variable in our organizational equation.
Possessing vast Route Based Operations, Management, and Investment Sponsorship
Experience in evolving the finance and accounting structure (collaboration, people, technology, and processes) will help us scale the organization and reach our long-term strategic goals. The ideal resource for this role would align well with the below set of objectives:
Requirements:
A strong finance and accounting background with proven success in managing all functions of a finance organization.
Ability to complete cash flow models and collaborate with the M&A team to assess potential acquisitions, contributing to a successful takeover.
Establish and maintain stable cash flow management policies and procedures and ensure cash resources are available for daily operations.
Outstanding communication and presentation skills, both oral and written; a boardroom
presence and ability to communicate effectively with internal and external customers.
Unquestionable business ethics, personal integrity, and moral stance.
Must have executive presence and be able to convey confidence when delivering information about the company’s financials.
Bachelor’s degree and 8-10 years of finance experience in roles of increasing responsibility (MBA preferred).
Experience in large and small organizations and substantial experience as the finance leader during a major restructuring/turnaround.
Ability to develop and nurture effective relationships at all levels of the organization.
An exceptional ability to identify, recruit, motivate, coach, and develop high-performance teams.
Experience applying GAAP and accounting principles.
Experience in route and home-based services.
Experience in Oracle - 2 years minimum
Responsibilities:
Carries out supervisory responsibilities in accordance with the organization's policies and
applicable laws.
Hands-on modeling: cash flow, pricing, budgeting, and forecasting
Annual operations budget
Financial analysis, Reporting & Control
Profit & loss forecast
Cash flow forecast
Financial information system implementation
Strategic & Operational planning
Contract cost proposals & estimates-at-completion
Capital expenditures
Business process re-engineering
Policy & procedure documentation
Education and/or Experience:
CPA designation preferred.
Please note this is a Hybrid/ Onsite role from our Chandler Office