Controller (New Position)
Company: Holbrook Asphalt LLC
Location: Saint George
Posted on: February 18, 2026
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Job Description:
Job Description Job Description Description: Provide accurate
and complete financial statements by ensuring all key balance sheet
accounts are reconciled promptly. Assure disposition of reconciled
items is handled appropriately, and ensure sign-offs from all
accounting staff/managers. Coordinate with each division for a
timely close process, including checklists, sign-offs, and journal
entry logs. Develop processes and procedures as required. Engage in
continuous improvement of the close cycle and closing checklists.
Prepare monthly/quarterly package to VP of Finance, including key
account reconciliations and identification of any risk areas or
assessments. Develop effective review process of all account
reconciliations, repository, and meeting cadence before, during,
and post close. Establish full calendar including pre-close
meetings, touch points during close, and related deliverables based
on closing checklist requirements, P&L reviews at the
appropriate time during close, and VP of Finance review meetings
and integration of FP&A into the P&L review process. Ensure
accuracy of T/B loads into consolidation reporting tool and
deliverables of Business Unit financial statements Consolidate
financial statements, income statements, balance sheets, and cash
flow statement; guarantee GAAP reporting and management reporting
accuracy monthly. Responsible for multiple locations, with
differing levels of personnel, to facilitate day-to-day activities
and accurate monthly and quarterly financial close process. Direct
the accounting, partner accounting, tax, and teams to ensure all
financial data is accurate and timely. Regularly work with the
Corporate team in conjunction with the VP of Finance to answer
questions, run ad-hoc reports or analysis, and participate in
business improvement initiatives. Provide strategic and day-to-day
leadership for the function, coordinating activities and managing
direct and indirect reports to achieve the goals and initiatives
needed to ensure success in the following areas: o Audit o
Consolidations o Accounting policy o Controls environment o Closing
process (timely, accurate, efficient) o Revenue accounting (output
method) o Receipts and disbursements o Ensuring information is
provided to 3rd party tax firm for timely and accurate filings and
compliance Direct the timely preparation of all financial reports,
including income statements, balance sheets, and cash flow
statements. Lead the financial integration of acquired entities.
Manage external audit process in conjunction with the Regional
Controller to ensure all audits are completed on budget and on
time, as well as the monthly close and reporting cycle. Evaluate
current financial processes, recommend and lead implementation of
process changes Requirements: 7 years of significantly demonstrated
experience as a strong accountant in a Controller context. CPA
required. Experienced using Vista and B2W by Vista, or NetSuite.
Demonstrated experience managing external audit process, monthly
close and reporting cycle (such as monthly close cycle, key account
reconciliations, developing closing checklists, closing calendars,
and other key financial statement controls), reporting and
compliance or private equity and debt markets, and development and
implementation of an internal controls program. Track record of
success in job performance. Acquisition integration and purchase
accounting experience. Background in public accounting is a
benefit, but not a necessity. Experience working with private
equity-owned businesses, including rigorous reporting requirements
(detailed weekly, monthly, and quarterly financial statements as
well as operational dashboards) Experience working for a company or
industry that employs a dispersed, large “blue-collar” workforce.
Experience with project accounting (company has multiple projects
ranging from single-day to multi-year). Ability to work with
personnel from all aspects of life will be critical. Ability to
work with small regional groups and also need to work with the
C-Suite and prepare information for board meetings. Strong
interpersonal and communication skills. Experience with cash flow
forecasting and cash management is a plus.
Keywords: Holbrook Asphalt LLC, Saint George , Controller (New Position), Accounting, Auditing , Saint George, Utah