UtilityInnovation Group

Controller

LocationRaleigh-Durham-Chapel Hill Area
Job Typefull_time

About This Job

The Corporate Controller will serve as a key financial leader overseeing all aspects of accounting, financial reporting, controls, and financial operations across the portfolio of businesses. This position will play a role ensuring financial integrity, compliance, and transparency while enhancing the processes, accounting systems and controls necessary to support the company's growth trajectory, without disrupting the high growth and nimbleness of the underlying businesses.


Key Responsibilities


Financial Reporting & Accounting Operations

- Direct the accounting operations of the holding company and its subsidiaries, including financial reporting, consolidations, AP/AR, payroll, and GL maintenance

- Lead monthly, quarterly, and annual financial close processes across multiple entities

- Establish and maintain robust accounting policies, procedures, and internal controls compliant with GAAP and company policies

- Ensure timely and accurate preparation of consolidated financial statements


Systems & Process Development

- Lead the implementation or upgrade of accounting and financial reporting systems suitable for a high-growth, multi-entity enterprise

- Develop and document scalable processes for intercompany transactions, allocations, and eliminations

- Implement best practices to improve efficiency, scalability, and accuracy


Treasury & Cash Management

- Oversee cash management, banking relationships, cash forecasting, and liquidity planning


- Coordinate intercompany funding and capital allocation


Audit, Tax, & Compliance

- Manage relationships with external auditors, tax advisors, and other consultants

- Ensure compliance with applicable tax laws, filings, and regulatory requirements

- Prepare for eventual financial audit readiness as growth continues


Leadership & Team Development

- Build, develop, and lead a high-performing accounting and finance team

- Provide ongoing training, coaching, and mentorship to staff as the department scales


Financial Planning & Strategic Support

- Support the CFO in forecasting, financial analysis, and strategic initiatives

- Participate in capital raising, M&A due diligence, and integration of new acquisitions


Qualifications

- Bachelor’s degree in Accounting, Finance, or related field; CPA required

- 10+ years of progressive accounting experience, including corporate controller or equivalent leadership role


- Experience with multi-entity, multi-industry financial consolidations

- Previous experience in high-growth, privately held or PE-backed companies strongly preferred

- Strong knowledge of GAAP, financial reporting, tax, and compliance


- Experience selecting and implementing ERP/accounting systems

- Proven ability to build accounting teams and scalable processes


- Excellent leadership, interpersonal, and communication skills

- Highly organized, detail-oriented, and able to thrive in a fast-paced, dynamic environment


Preferred Characteristics

- Experience in a holding company or multi-subsidiary organizational structure

- Comfortable operating at both strategic and hands-on tactical levels

- Able to partner effectively with non-financial executives and business owners

- Customer Service approach to working with internal stakeholders


- Self-starter, intellectually curious


- Solutions-oriented and proactive problem solver

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